Finance Officer at IT Horizons Limited

Job Overview

Location
Lagos, Lagos
Job Type
Full Time
Date Posted
1 year ago

Additional Details

Job ID
86173
Job Views
129

Job Description



Job Summary



  • To provide support in bookkeeping, capturing of accounting transactions, bank reconciliation and reporting on financial transactions.

  • Prepares records for remittance of statutory deductions such as: Value Added Tax (VAT), Withholding Tax (WHT), Capital Gain Tax and staff related statutory payments i.e. PAYE, Pension, NHF, etc.


 Responsibilities



  • Updates account payable and receivable ledgers for all purchases, including payments to vendors for products or services.

  • Receives invoice and requisition for goods and services and also process payments accordingly.

  • Prepares and update prepayments, accruals and provisions schedules and ledger.

  • Prepares weekly report for payment transactions.

  • Prepares periodic or monthly reconciliation of all accounts to ensure accuracy and completeness.

  • Relates effectively with the organisation’s financial service providers.

  • Documents and update records of all fixed assets to ensure assets are properly valued, accounted for and safeguarded.

  • Work closely with the Customer experience officer to manage all settlements and chargeback requests/issues on the platform.

  • Reconcile all Xpresswallet, Shago and ZojaPay transactions via the different dashboard.

  • Preparation of daily, monthly, and weekly transaction reports for ZojaPay

  • Manage all funding requests for ZojaPay’s various 3rd party integration – Termii, Shago, AWS, Postman, Forge & Dojah in conjunction with the Application officer.

  • Submit approved payment requests to Finance and Accounts staff to ensure timely processing of relevant invoices.

  • Updates account payable and receivable ledgers for all purchases, including payments to vendors for products or services.

  • Receives invoice and requisition for goods and services and also process payments accordingly.

  • Prepares and update prepayments, accruals and provisions schedules and ledger.

  • Prepares weekly report for payment transactions.

  • Prepares periodic or monthly reconciliation of all accounts to ensure accuracy and completeness.

  • Relates effectively with the organisation’s financial service providers.

  • Documents and update records of all fixed assets to ensure assets are properly valued, accounted for and safeguarded.

  • Reviews records for remittance of staff related statutory payments i.e. PAYE, Pension, NHF, etc.

  • Prepares monthly account and compute appropriate taxes; VAT and WHT schedules.

  • Processes expense retirement ledgers to ensure proper accountability of all cash advances.

  • Assists in the generation of financial reports as required by management.

  • Handles all aspects of assigned bookkeeping activities such as journals and nominal ledger administration by updating the accounting application with transactions as they occur.

  • Implements accounting controls in day-to-day performance of tasks (e.g. confirm the accuracy of general ledger codes on the accounting system).

  • Implements accounting controls in day-to-day performance of tasks (e.g. confirm the accuracy of general ledger codes on the accounting system).

  • Documents and updates records of all assets to ensure proper valuation and security.

  • Collates and consolidates financial information from all business units and prepares trial balances.

  • Performs other duties that may be assigned by the Finance Manager.


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