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

19 jobs found

Dangote Group

Finance Officer - Inbound Logistics

Lagos Nigeria
Closed for applications
British Council

Payroll Consultant MEA

Lagos, Abuja Nigeria
Closed for applications
Wema Bank Plc

Corporate Banking Relationship Manager

Lagos Nigeria
Closed for applications
Airtel Nigeria

Mid-Career Professionals Application Programme - Finance

Lagos Nigeria
Closed for applications
Stanbic IBTC Bank

Banker, Private - Lagos

Lagos Nigeria
Closed for applications
First Bank of Nigeria Limited

Credit Policy & Portfolio Officer

Lagos Nigeria
Closed for applications
First Bank of Nigeria Limited

Credit Monitoring Officer

Lagos Nigeria
Closed for applications
Asset & Resource Management Holding Company (ARM HoldCo)

Funding Accounting Officer

Lagos Nigeria
Closed for applications
Asset & Resource Management Holding Company (ARM HoldCo)

Credit Analyst

Lagos Nigeria
Closed for applications

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Asset & Resource Management Holding Company (ARM HoldCo)

IT Auditor, Internal Audit

Lagos Nigeria
Closed for applications
Dangote Group

Manufacturing

Finance Officer - Inbound Logistics

Closed for applications
Job details

Contract Type

Description

Qualification and Experience

  • Bachelor's degree or its equivalent in Accounting or related discipline.
  • Relevant professional accounting qualifications such as. ACA, ACCA.
  • Minimum of 3 - 9 years of relevant work experience.

Skills and Competencies:

  • Good knowledge and understanding of finance best practices, IFRS, and other applicable accounting standards
  • Good knowledge of Consolidation
  • Working knowledge of accounting packages and systems, including SAP
  • Good communication and interpersonal skills
  • Good analytical and problem-solving skills
  • High ethical standards and integrity
  • Proficiency in the use of MS Office tools
  • Good oral and written communication skills
Responsibilities
  • Collecting and sorting vendor invoices and processing customs duty payments.
  • Reconciliation of the statement of accounts with shipping and terminal companies.
  • Timely processing of reimbursements.
  • Keeping records of business transactions and accounting records.
  • Timely processing and follow-up of refunds from shipping and port terminal companies.
  • Accurate rendering of weekly and monthly reports.
  • Reconciliation of empty container templates.
  • Processing of customs duty payments and uploading to the SharePoint platform.
  • Ability to analyze statements of account, financial statements, and interpret ratios.


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