Perform general accounting activities including preparation, maintenance and reconciliation of ledger accounts and financial statements such as balance sheets, profit and loss statements, cash flow statements, capital expenditure schedules and the production of management reports for the brand.
Tax reporting and inventory processing
Collecting and analysing data, which is then used in the preparation of weekly and monthly estimates for the brand.
Preparing weekly cash flow statements, and controlling expenditure and cash flow
Assisting with the preparation of year-end accounts and statutory accounts
Responding to financial inquiries by gathering and interpreting data Examining financial records to check for accuracy
Ensure the brand's cash management and banking activities are efficiently carried out.
Provide financial support including forecasting, budgeting and analysing variations from budget.
Preparation of audit files including statutory accounts in accordance with legal requirements.
Generate monthly results and implement monthly variance reporting
Other duties that may be assigned
Monthly P&L report
Willing to Relocate is an advantage
Location is Agbara Badagry