About The Role
We are looking for an experienced financial accountant who has a solid technical background with understanding and handson experience in financial record tracking and report preparation. A team player who understands financial processes as well as can work well in a supporting role.
Our Ideal candidate should demonstrate an interest in managing accounting activities including bank reconciliations accounts payable and administering financial accounting operations to meet legal requirements. You should be familiar with invoices audits and budget preparations and understand Quickbooks software and Microsoft Excel functions.
We need your help with:
Preparing source data for financial reports and projections
Daytoday entry of company financial transactions
Oversee cash management/reconciliation financial reporting and balance sheet management.
Accountable for ensuring that policies and procedures (internal controls) are in place to provide reasonable assurance that the company assets are protected
Ensure that company financial records under responsibility are maintained in compliance with company policies.
Responsible for reviewing monthly/quarterly account reconciliations and other documents to ensure this compliance
Coordinate work relating to both internal and external audits in the periodic review of the companys financial records.
Responsible for the implementation of agreedupon recommendations related to areas of responsibility resulting from the audit findings.
Reconciliation of customer transactions on all product lines
Reconciliation of all provider transaction records for customer transactions
Reconciliation of customer account balances
Monitoring and reconciliation of all revenue collections
Weekly analysis of the cost of services to service providers
Providing support on financerelated customer support issues
Assist in transaction and float monitoring
Preparation of monthly and annual financial statements
Weekly reporting on the performance of all business divisions
Provide support and act as liaison for annual year Audit
Act as a consolidation point for all product reconciliation and costofservice analysis
Preparation of monthly and annual budgeting and forecasting
Reconciliation of all cash advances and also Provide tax and compliance support
Requirements
Qualification
BSC in Finance/Accounting
At Least 23 years of experience in finance operations
Good knowledge of Quickbooks accounting software
Excellent oral and written communication in English
Good analytical skills and attention to detail
Basic knowledge of the Fintech industry and cryptocurrency would be good to have.
Good with digital collaborative tools
Must have:
A solid finance background probably in an investment bank asset management or any of the leading Fintech
Proficiency with Excel
Experience preparing financial statements
Experience preparing management reports
Ability to think independently and on your feet team player and easy to adapt.
Certifications ACA/ACCA/ or CFA Certified or (in progress)
Minimum academic qualification of a graduate degree, preferably in Computer Science (2:1 and above. A 2:2 can be considered if the candidate has at least 5 years programming experience) At least 3 - 5 years working experience with team lead capabilities Experience in C# / ASP.NET, JavaScript and CSS. Knowledge of javascript and CSS frameworks is a plus (such as Vue, Angular, react, bootstrap, material bootstrap, semantic UI, etc) Demonstrable past work in the .NET environment (websites, windows applications. apps, etc) Any IT programming courses is a plus Location: Abuja Candidate residing in Abuja is a plus
Education
BSC