Job Description
Support the Finance Manager with bookkeeping, reconciliations, financial reporting and day-to-day finance operations.
Responsibilities
Key Responsibilities
Assist in preparing financial statements and monthly reports
Maintain accurate accounting records, ledgers and filing systems
Perform basic bookkeeping tasks, including journal entries and reconciliations
Assist with payroll processing and expense management when required
Provide support during audits and compliance checks
Assist with preparation and processing of invoices, receipts and payment vouchers
Record financial transactions and update accounting spreadsheets or software
Reconcile bank statements and other financial records under supervision
Support accounts payable and accounts receivable activities
Assist with expense tracking and verification of supporting documents
Prepare basic financial reports and schedules when required
Support month-end and year-end accounting activities
Maintain inventory of office supplies and coordinate timely replenishment
Maintain confidentiality of financial information and records
Requirements
Requirements
Recently completed a degree in Accounting, or Accountancy (current NYSC corp member or just concluded NYSC)
Foundational knowledge of accounting and bookkeeping principles
Comfort with spreadsheets and accounting software
High attention to detail and accuracy
Strong sense of integrity and confidentiality
Willingness to learn and take on ad-hoc finance projects
Benefits
What You'll Gain
Mentorship from the Finance Manager
Practical experience across the full accounting cycle
Exposure to audits, compliance and financial reporting
Foundation for a professional finance career
