Responsible for the maintenance of financial records, the processing of income and expenditure, purchase of goods and services and undertaking a range of financial reporting and administrative tasks.
Preparation of / writing of Financial Reports and Instruments
Examination of GL lines & components
Preparation of statutory reports for regulators
Handling of external auditors
Preparation of Expenses and Income accruals
Maintenance & Updating of Fixed Assets Register
Rendition of VAT returns, PAYEE & WHT.
Management of Payee and Pension Deduction
Provides informative financial reports to management on the activities and performance of the Bank
Management of Medical Accruals
Preparation of Ratios & Camel Analysis
Staff Advances & Retirement.
Provides management with timely, well analysed and in-depth information as inputs for preparing budget for the Bank
Oversees Bank’s performance in attaining established objectives. Recommends corrective actions as necessary when Bank’s objectives are not met
Reviews detailed analysis of Bank’s performance to identify basis for deviations from plans and present result to management
Preparation of the Bank’s annual budget and driving the achievement of the targets
Preparation of other periodic reports as may be required from time to time.
Assist with procurement and risk management processes.
Administer the sale, stock control and promotion of company merchandising.
Perform other duties as may be assigned by the CFO
Qualification and Experience
First degree or its equivalent in any discipline. Relevant Masters degree will be an added advantage.
Minimum of 7 years post qualification experience in Finance & Performance Management within the Financial Services Industry, of which at least 4 must have been in the Banking Sector
A relevant professional certification in Accounting /Finance (CIS, ACCA, ACA, CFP, IT Cert. etc.)