for this role include
Manage all accounting transactions that come through the business
Process the bank statements and perform bank reconciliations
Carrying out reconciliation of all bank operations accounts.
Monthly filing of statutory (PAYE, VAT, WHT, etc.)
Processing of invoices and liaising with other departments regarding payables.
Handling any other financial function delegated by Superior or management staff.
Record day-to-day financial transactions
Verify that transactions are recorded in the correct account allocations
Prepare a monthly Profit and Loss Statement, balance sheet, cash flow statement
Audit financial transactions and documents
First Degree in accounting or finance-related discipline.
Minimum of 2 years experience post-NYSC
Professional student of Accounting (ICAN, ACCA, etc.) would be added advantage
Exposure to finance or bank-related functions would be an added advantage.
Versatile in using ERP such as Xero, NAV Dynamic, Sage, etc
Good use of Spreadsheets like; Google Sheet, Excel.
A high degree of accuracy and attention to detail
Proactive, with an innate drive to exploring different options for reaching results, autonomously
Benefits and perks
Be part of an international team
A high degree of autonomy, flat hierarchy, open communication and get shit done attitude
Pension and health insurance schemes
Flexible working hours
We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.