Job Description
Responsibilities:
- Provide support in the reconciliation of the Bank’s accounts which can be daily, weekly, or monthly depending on the volume of transactions.
- Provide support in the preparation of reports for management, directors, auditors, regulators, government agencies, and departments including for tax compliance purposes.
- Provide support in the initiation of memos and financial instruments for transactions.
- Provide support in the review of assets, liabilities, income, and expenses of the Bank periodically.
- Provide support in the preparation and submission of monthly and annual regulatory returns.
- Provide support in the verification of depreciation and amortization every month.
Requirements:
- Minimum of OND
- 0-1 year experience
Location: Lawanson and Surulere
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