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- ...Assets Microfinance Bank is a tier-1 Microfinance bank providing accessible, reliable, and convenient financial services to individuals and businesses across Nigeria. At Assets MFB, we offer value-based banking to Nigerians by creating superior value for all our stakeholders...
- ...Assets Microfinance Bank is a tier-1 Microfinance bank providing accessible, reliable, and convenient financial services to individuals and businesses across Nigeria. At Assets MFB, we offer value-based banking to Nigerians by creating superior value for all our stakeholders...
- ...Assistants in their daily tasks to ensure efficiency and accuracy. Follow up on collections across all payment channels, including POS, bank transfers, cash, and other payment methods, and handle customer refunds as necessary. Manage recipes, menu items, and inventory...
- ...preparation of budgets and forecasts to support organizational planning. Handle payroll processing and tax filings. Reconcile bank statements and monitor cash flow. Assist in financial audits and ensure proper documentation. Work closely with management...
- ...optimization. Support due diligence and financial valuation in investment proposals and acquisitions. Liaise with external auditors, banks, and regulatory bodies. Implement financial risk management strategies, including forex, interest rate, and commodity exposure....
- ...you will be responsible for overseeing and managing the reconciliation of complex financial transactions across multiple platforms, banks, and partners. Your expertise will help ensure financial accuracy, mitigate risk, and support strategic decision-making within the...
- ...tools or frameworks when needed and adjust to changing technical priorities. Nice To Have: detailed experience in FX payments, Core banking, open banking or financial infrastructure. What We Offer Rewarding compensation Team bonuses and office-based perks...
- ...company's cash flow, ensuring sufficient liquidity to meet operational needs and financial obligations. v Manage relationships with banks, auditors, and other financial institutions. v Implement and maintain robust financial controls and procedures to safeguard...
- ...assigned accounts, such as payroll, invoicing, and other transactions Contract outside services for tax preparation, auditing, banking, investments, and other financial needs as necessary Manage the team to ensure increased productivity and efficiency Preparing...
- ...work to ensure compliance with the company’s policies in relation to the following: Credit & Sales Policies Sales Collection & Banking Float & Expenses Policy Inventory Management Stock Policy Budgeting Guidelines / Budget Implementation Statutory...
- ...ensuring accuracy and compliance with laws and regulations Maintain general ledger accounts and prepare journal entries Reconcile bank statements and monitor cash flow Assist in the preparation of monthly, quarterly, and annual financial reports Handle accounts...
- ...through cold calling, networking, and referrals. Actively market Kuda’s array of financial products, including personal & business banking, loans, and POS terminals, to prospective customers within the designated territory. Achieve and exceed monthly sales targets...
- ...and returns Post transactions and categorize records in the general ledger (e.g. by assets, liabilities, and expenses) Reconcile bank statements Analyse transactions with internal and external stakeholders Conduct month-end and year-end closures Prepare...
- ...Key Responsibilities Oversee accounts payable and receivable, including invoicing, payments, and expense tracking. Reconcile bank statements, ledgers, credit card transactions, and other financial records. Prepare and analyze financial reports and statements...
- ...entries to ensure all business transactions are recorded accurately Maintain and reconcile the general ledger and sub-ledgers (AP, AR, bank, intercompany) Accounts Payable & Receivable: Process supplier invoices, issue invoices to clients, and trace payments across...
- ...payments, ensuring all prices and quantities are accurate and providing a receipt to every customer Deposit cash received to the bank Track transactions on balance sheets and report any discrepancies. Maintain accurate record of inventory sent to the station....
- ...restaurant. Prepare accurate financial statements (income statements, balance sheets, cash flow statements) monthly. Cash and Bank Management Reconcile daily cash, POS, and bank deposits to ensure completeness and accuracy. Monitor and record bank transactions...
- ...law firms or legal services consultancies. Experience from Big Four firms, multinational professional services firms, or commercial banks may be considered. • Organizational Scale: Should have operated within firms with complex structures, global reach, or high-profile...
- .... Process and manage financial transactions, including invoices, payments, and expense claims. Assist with the preparation of bank reconciliations and manage petty cash transactions. Support the accounts payable and accounts receivable functions. Help maintain...
- ...accounting application with transactions as they occur), preparing journal entries, preparing monthly closing and financial reports, bank reconciliation. Validation of transactions and verification of their impact on the accounts. Support to ensure timely and...