Not specified
Job PurposeAssess, monitor, plan and manage the efficient utilization of cash and financial resources in a manner consistent with the objectives of the Company.Duties & Responsibilities
Reconcile all Investment Ledgers with the Investment schedule
Ensure that all investment related inflow and outflow are properly treated in the ledger
Review and ensure accuracy of fixed assets register
Raise all necessary journals to book new entrant and recognizing monthly annuity
Reconcile bank accounts with the cashbook and flag any irregularities or errors discovered
Maintain a secure, efficient and accurate filing system (electronic and hard copies) to ensure safe storage and easy retrieval of information
Assist in preparing all financial reports in accordance with generally accepted accounting standards.
Prepare and remit all tax-related payments eg PAYE, VAT, WHT
Prepare monthly depreciation reports and post accordingly in monthly Management Accounts
Ensure accurate documentation and posting of all disposed assets in the fixed asset disposal account
Liaise with tax authorities (federal and state)
Required CompetenciesKnowledge/ Qualification
Bachelor’s degree (minimum of 2ndClass Lower)
2-3 years relevant experience
Chartered Accountant (ACA, ACCA)
Excellent numerical and analytical skills
Skills/Competencies
Working knowledge of all regulatory requirements and the modus operandi of the regulators.
Familiarity with extant tax regulations and guidelines
Proficiency in the use of Microsoft Office applications.
Proactive, Resourceful and hands-on with good initiative.
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