
Job Description
JOB DUTIES
Preparation of monthly management accounts.
Preparation of monthly bank reconciliation statements.
Prepare final accounts and periodic management accounts.
Maintain financial security by following internal control.
Reconciliation of bank statements with cash book.
Prepares an operating expenses schedule, such as trailer expenses, loading, clearing, trip allowance, etc., for the Head of Finance to check.
Posting of transactions into Sage.
Reconciliation of sales and purchase of AGO, PMS, and DPK.
Monitoring daily movement of cash-in-hand and cash.
Identify and follow up on Receivables and Payables.
Custodian of cash relating to trailer expenses, loading, clearing and trip allowance.
Reconcile inter-company balances on a monthly basis.
Maintain financial transactions by auditing documents.
Prepares payments by verifying documentation and requesting disbursements.Prepares asset liability and capital account entries by compiling and analyzing account information.
Ensure that all financial transactions are handled and processed in line with the approved policies and procedures.
Maintaining fixed asset register and schedule.
QUALIFICATIONS
HND / B.Sc Degree.
12 to 20 years of relevant Experience.
Excellent communication and presentation skills.
Proficiency in Microsoft Office skills Sage, Microsoft Office, Word, Excel, PowerPoint, Peachtree Accounting software, Outlook.
Ability to work without supervision.
Ability to multi-task and work under pressure.
Strong organizational skills.
Industries:Oil & Energy
Function: Accounting and Finance
Job Skills
- Auditing
- Financial Applications
- Accounting
- Book Keeping
Job Overview
Date Posted
Location
Offered Salary
Not disclosed
Expiration date
Experience
Qualification
