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Accounting Officers Job at AB Microfinance Bank Nigeria

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:

Position:  Senior Accounting Officer (Reconciliation & Accounts)


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

Position:  Junior Accounting Officer

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,


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

Method of Application

Interested and Qualified Candidates should please send their CVs as an attachment to e-mail  using the Reference Code as the subject of the email not later than Tuesday, August 11th, 2015. 

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