Accounting, finance, banking, insurance Jobs in Nigeria

15 jobs found

First Bank of Nigeria Limited

Accounting Set-Up Analyst

Lagos

Nigeria

Rand Merchant Bank

Fixed Income and Foreign Exchange Dealer

Lagos

Nigeria

Danish Refugee Council

Risk & Compliance Specialist

Abuja

Nigeria

Grow Strong Foundation

Finance Officer

Damaturu,

Maiduguri

Nigeria

Grow Strong Foundation

Auditor

Damaturu,

Maiduguri

Nigeria

Malaria Consortium

Campaign Finance Manager

Abuja

Nigeria

Fhi 360

Finance Officer

Bauchi

Nigeria

Dangote Group

Finance Officer, Inbound Logistics

Lagos

Nigeria

Global Village Healthcare Initiative for Africa

Finance Assistant

Katsina

Nigeria

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Dangote Group

Finance Officer - Inbound Logistics

Lagos

Nigeria

Country / Region

Profession

Seniority (Accounting, finance, banking, insurance)

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Accounting Set-Up Analyst

Job details

Contract Type

Description

Education

Minimum Education: First degree in Applied or Social Sciences, Higher Degree/ Professional accounting qualification such as ACCA, ACA, or its equivalent

Experience

Minimum experience: 5 years of relevant banking operations, knowledge of banking products, knowledge of accounting standards and processes, knowledge of banking regulation, from financial services or consulting

Responsibilities

1. Participate in all account maintenance activities, i.e. Static/Master Data Maintenance such as creation of new accounts and appropriate GL mapping, managing restrictions on accounts as required for product setup or modifications

2. Handle all account maintenance activities i.e. Static Data Maintenance such as creation of new accounts and appropriate GL mapping, managing restrictions on accounts, and proper monitoring to ensure that accounts have the appropriate restrictions

3. Cocreate Product Papers, Business Requirement Documents and User Story Document and document accounting entries and accounting procedures for products and processes

4. Participate in Controlled Live Test and User Acceptance Test sessions and reviewing accounting entries to prevent post implementation issues.

5. Follow up with product and technology teams to ensure that exceptions and errors are dealt with on an accurate and timely basis.

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