Responsibilities:
• Prepare and submit monthly CBN returns (e.g., Prudential Guidelines, CRR, Liquidity Reports).
• Assist in the preparation of Management Accounts, Balance Sheets, and Profit & Loss Statements.
• Support the CFO on the annual budgeting process and periodic forecasts.
• Reconcile General Ledgers, bank statements, and subsidiary accounts daily.
• Prepare the Weekly Performance Report (liquidity, profitability, loan portfolio).
• Conduct periodic financial analysis (trends, cost optimization, revenue leakage).
• Support liquidity management by tracking cash flow projections.
Requirements:
• Minimum of a B.Sc. qualification
• Minimum of 2 years of experience.
• Excellent analytical and numerical skills
• Sharp time management skills