Job Description
Responsibilities
- Provide transaction and trade reconciliation
- Managing records, bank statements, and receipts
- Reconciling daily, monthly, and yearly transactions
- Preparing balance sheets and other statement of financial positioning
- Processing support for financial analysis and profiling
- Developing an in-depth knowledge of organizational products and process
- Resolve financial discordancies
- Tax and other regulatory management
- Supporting the Finance Manager and executives with projects and tasks when required
What you should have:
- A tertiary education
- 3+ years of post-NYSC corporate finance work experience
- Top knowledge of tools such as Excel, SAP, Xero, or Tableau
- Top innovative skills with a hands-on problem-solving approach
- Business English writing and speaking skills
- Professional Certifications like ICAN, ACCA, etc. will give you an edge
- Great attention to details