Accountant Jobs in Nigeria

88 jobs found

MTN Nigeria

Accountant - Financial Operations

Ikoyi

Nigeria

Deloitte Nigeria

Financial Accountant

Lagos

Nigeria

Flutterwave

Account Manager

Lekki

Nigeria

Flutterwave

Account Manager (French Speaking)

Lekki

Nigeria

Flutterwave

Account Manager (Mandarin Speaking)

Lekki

Nigeria

Jhpiego

Trainers for CSOs on Community-led Approaches to Resource Mobilization, Community Engagement Techniques, and Social Accountability.

Abuja,

Birnin Kebbi,

Abakaliki

Nigeria

Jhpiego

Trainers for Adaptation/Development of Community Engagement and Accountability Materials

Abuja,

Birnin Kebbi,

Abakaliki

Nigeria

Action Aid

Finance Consultant, RWVL

Abuja

Nigeria

MTN Nigeria

Partner - Client Success

Abuja

Nigeria

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MTN Nigeria

Officer - Banking and Reconciliation

Ikoyi

Nigeria

Country / Region

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MTN Nigeria

Telecommunications

Accountant - Financial Operations

Job details

Contract Type

Description
Education:
  • A first degree in any discipline, but a finance and management related degree is desirable.
  • A professional accounting qualification (ACA, ACCA, CPA, CIMA).
  • Fluent in English
Experience:
3-7 years’ experience which includes
  • Experience working in a medium organization
  • Experience in core accounting function
  • Knowledge of Microsoft Office tools
  • Experience in using an ERP system is desirable
  • Experience in Finance functions in the telecommunications industry would be an added advantage


Responsibilities
  • Maintain a strict control environment and ensure strict compliance with all MTNN policies and procedures.
  • Perform accounts payable process and reporting
  • Analyze and process invoice and PO’s received; and ensure accurate receipt of Purchase Orders on ERP by user departments.
  • Manage appropriately, the databases of Withholding Tax deductions on vendors’ payments, withholding tax (\WHT) deductions for remittance and analyze vendor/staff sub-ledgers.
  • Process transactions for staff advances, retirement and expense claims, and analyze divisional cash floats for adequacy; and rectify error.
  • Ensure efficient and timely reconciliation and reimbursement of float (Executive Mastercard float, fuel etc).
  • Perform general ledger accounting and reporting.
  • Liaise with banks and key stakeholders when required and perform reconciliation of bank statement to general ledger accounts.
  • Track expenditure by planning and directing all expenditure activities.
  • Compile monthly financial expenditure reports.
  • Reconcile financial expenditure with divisional / regional financial managers


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