- Handling cash and banking transactions
- Reconciliation of cash, bank, Paystack and Interswitch platforms
- Maintaining creditors and players (debtors) accounts and its reconciliation
- Maintenance of general ledger
- Preparation of monthly financials for management (Income Statement, Balance Sheet and Cash Flow) and submission of Lottery Board Returns
- Managing Taxation
- Proficient in working accounting software
- Should independently liaise with banks, auditors and other agencies.
- Processing of purchase orders (procurement)
- Management of franchises receivables and commissions
This person should be self-motivated and should be able to work independently.