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Account Officer AT RAINOIL

 Description

  • Handles all aspects of assigned bookkeeping activities such as reconciliations, journals and nominal ledger administration by updating the accounting application with transactions as they occur
  • Executes measures to ensure that the company’s receivables are effectively monitored and are kept to the minimum
  • Processes cash book transactions and prepares bank reconciliation
  • Documents and updates records of all fixed assets to ensure assets are properly valued, accounted for and safeguarded
  • Computes direct expenses as well as proper booking of all expenses
  • Monitors of Rainoil’s budget by performance evaluation and analysis of variances
  • Manages invoices with respect to truck activities
  • Prepares of the year end performance report showing the closing balances for assets, liabilities, cash and stock.
  • Prepares periodic accounts as well as the group’s statement of financial position at the end of the financial year.
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Requirements

  • Minimum of Bachelor’s Degree/HND in Finance/ Accounting or any related discipline
  • Relevant professional certification e.g. Chartered Accountants of Nigeria (ICAN),Association of Certified and Chartered Accountants (ACCA) is an advantage
  • Minimum of 5 years' work experience in the Finance/ Treasury/ Accounts function in a similar organization.
  • Responsibility
  • Handles all aspects of assigned bookkeeping activities such as reconciliations, journals and nominal ledger administration by updating the accounting application with transactions as they occur
  • Executes measures to ensure that the company’s receivables are effectively monitored and are kept to the minimum
  • Processes cash book transactions and prepares bank reconciliation
  • Documents and updates records of all fixed assets to ensure assets are properly valued, accounted for and safeguarded
  • Computes direct expenses as well as proper booking of all expenses
  • Monitors of Rainoil’s budget by performance evaluation and analysis of variances
  • Manages invoices with respect to truck activities
  • Prepares of the year end performance report showing the closing balances for assets, liabilities, cash and stock.
  • Prepares periodic accounts as well as the group’s statement of financial position at the end of the financial year.

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