AB Microfinance Bank Nigeria recruitment for Accounting Officers
AB Microfinance Bank Nigeria is a foreign-owned financial
institution, based in Lagos state, which offers a broad range of
financial services to micro, small and medium-sized enterprises (MSMEs)
and other clients in the lower income strata.
We are recruiting to fill the position of:
Job Title: Senior Accounting Officer (Reconciliation & Accounts)
(REF CODE: SAO) Main Tasks:
- Directly responsible for the daiiy reconciliation of E-banking
transactions on the accounling software including the mobile and card
transactions.
- Communicate and follow up on all unverified/unauthorized transactions from the correspondence banks.
- Preparation of Joumals and posting of accounting transactions into the accounting software.
- Preparation and posting of some accounting ledgers and schedules.
- Preparation of management accounts.
- Supervlses all reconcnauons done wil~in the urut such as accounting
soflware reconciliation, bank reconciliation statements e.t.c
- Responsible for daily prepamticn and submission of all outstanding
un-reconciled items induding the age analysis of the figures to CFO and
CA including me challenges associated with the report (if any).
- Review an unreconciled items and pass the necessary corrections.
- Verify the accuracy of all bank charges and interest on the account statements.
Necessary Experience and Requirements:
- Minimum educational qualification of B.Sc/HND in Accounting/Finance/Economics
- Must be ACA, ACCA certified or any relevant professional qualification
- Minimum of 3 years of professional-post certification (ICAN, ACCA etc. ) working experience inrelatec field
- Strong accuracy and analytical skills
- Strong reconciliation skills
- Excellent communication and organization skills
- Applicant must possess integrity and honesty
- Excellent knowledge of Microsoft Excel and Microsoft Word
- Relevant/similar Experience in a financial institution
- Good Knowledge of IFRS
Job Title: Junior Accounting Officer
(REFCODE: JAO)
Main Tasks:
- Responsible for the daily and monthly reconciliaUon of all correspondence bank accounts
- Directly responsible for the daily reconciliation of Banking
software business module with accounting module, including investigation
of vanances if any and ensuring that the variances/differences are
corrected immediately,
- Responsible for weekly and monthiy instrument posting into the accounting software.
- Directly responsible for preparation of monthly account payables' and schecuies Such as VAT( Value Added Tax) ,
- Withholding taxes (WHTi for both state and federal tax authorities
inducing follow up on obtaining Tin number for the various service
provcers,
- Coordination ana preparation of annual tree (Electronic tax
clearance forms) for processmq of employee tax clearance certificates
- Responsible for the daily check and fellow up of all clients account with respective correspondence banks.
- Analyzing of branch and head office petty cash expenses.
- Posting head office petty cash 10 the excel sheet and posting mto the appropnate account head In software,
Necessary Experience and Requirements:
- Minimum ecucauonai qualification of BSc/HND in Accounting
- Minimum of 2 years - post NYSC working experience in related field
- Excellent knowledge of Microsoft Excel and Microsoft Word
- Strong accuracy and analytical skills
- Strong reconciliation skills
- Excellent communication/organization skills
- Applicant must possess integrity and honesty
How to Apply
Interested and Qualified Candidates should please send their CVs as an attachment to:
[email protected] using the Reference Code as the subject of the email not later than Tuesday, August 11th, 2015.