Handles ALL tax matters, Interface with Tax Authorities and filing of all statutory returns.
Meets accounting financial objectives by forecasting requirements; preparing an annual budget; preparing business plans and cash flow forecasts, scheduling expenditures; analyzing variances and initiating corrective actions.
General book-keeping and implementing on-going control of cash transactions including reconciliation of bank statements and accounts and resolution of any discrepancies.
Monitor monetary cash inflow activity in all clients both new and existing.
Preparation of management reports, including monthly and annual accounts; analysing operating and financial statements for profitability ratios.
Work with the External Auditors to ensure a clean and timely year-end audit.
Preparing payrolls, records of prepaid assets, accounts receivable, accruals and payment of employee salaries. Oversee the timely and regular payment of utility bills and tax levies.
Maintain the organization’s financial security by maintaining compliance with internal controls.
Briefing the MD/CEO weekly on the company’s financial position.
Financial management of all projects i.e. MacArthur, UN women etc.
Any other accounting and financial tasks as assigned by MD.
B.Sc or HND in Accounting or any related course.
5-7 years Financial Accounting experience in a structured organisation
How to Apply
Interested and qualified candidates should send their Application Letter and CV to: email@example.com using the “Job Title” as the subject of the mail.