Accounting, finance, banking, insurance jobs in Ojota, Nigeria

26 jobs found

Sahara Group Limited

Financial Accounting & Reporting Manager

Lagos

Nigeria

Closed for applications
Sahara Group Limited

Head Financial Reporting

Lagos

Nigeria

Closed for applications
Lopterra Services Limited

Entry Level Accountant

Apapa

Nigeria

Closed for applications
MTN Nigeria

Supervisor - Treasury Operations

Ikoyi

Nigeria

MTN Nigeria

Specialist - Financial Systems

Ikoyi

Nigeria

MTN Nigeria

Accountant - Financial Operations

Ikoyi

Nigeria

MTN Nigeria

Specialist - Fraud Investigations

Ikoyi

Nigeria

Closed for applications
MTN Nigeria

Accountant - Financial Operations

Ikoyi

Nigeria

Closed for applications

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MTN Nigeria

Officer - Banking and Reconciliation

Ikoyi

Nigeria

Closed for applications

Country / Region

Seniority (Accounting, finance, banking, insurance)

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Sahara Group Limited

Energy + 2 more

Financial Accounting & Reporting Manager

Closed for applications
Job details

Contract Type

Description

Requirements

  • Good/Sound knowledge of Microsoft Excel
  • Strong analytical and problem-solving skills
  • Knowledge of accounting packages/software
  • Ability to be creative in doing the mundane.
  • Effective time and resources management.
  • Accounting Graduate with at least a minimum of 5 years of work experience in similar role.
  • Accounting Professional Certification


Responsibilities
  • Ensure all accounting transactions are posted and recorded daily in the company ledgers to enhance timely reporting and decision making.
  • Process payments and invoices through the bank and ensuring payments are done.
  • Ensure regulatory compliance with tax and other regulatory bodies (PAYE, WHT, VAT and Pension, and others).
  • Prepare intercompany memos and carry out reconciliation with all sister entities.
  • Book, monitor and prepare monthly accrual journals.
  • Book, monitor and prepare monthly prepayment journals.
  • Maintain the company’s fixed asset register, payables, receivables, and general ledgers
  • Handle petty cash management, retirement & replenishment.
  • Carry out month end bank reconciliation.
  • Generate financial & management reports and cash flow statement for manager’s review.
  • Monitor expenditures analyse revenues and determine budget variances and report the same to management.
  • Participate in budget preparation and implementation, cost deviation tracking and control.


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