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Senior Auditor



Finance Manager
Job Summary The finance manager is responsible for supervising, planning and coordinating the activities of a variety of finance and accounting services for the plant. This includes general accounting/bookkeeping, accounts receivable, accounts payable, payroll, fixed assets management, budgeting and management reporting processes. Responsibilities • Ensure accuracy of the plant’s financial records and compliance with best practice finan
Accountant
Accounts Receivable



Senior Accountant
Accounting function up to Financial Reporting and management of Taxes in the oil and gas sector.
Finance Manager/Head of Finance
Job Description: • This position reports to the CEO and serves as an integral member of the senior management team wearing the hat of Head of Finance. • As the Head of Finance, the candidate will be responsible for developing, monitoring and evaluating overall corporate strategy with the CEO and other departments with emphasis on bottom line performance, working capital and enhancing shareholder value. This position will provide useful fina



Head Of Finance
This position reports to the CEO and serves as an integral member of the senior management team wearing the hat of Head of Finance. • As the Head of Finance, the candidate will be responsible for developing, monitoring and evaluating overall corporate strategy with the CEO and other departments with emphasis on bottom line performance, working capital and enhancing shareholder value. This position will provide useful financial insights to help
Account Clerk
Sorting of Invoices Payroll Management Preparation of Monthly Income Statement And other duties as will be assigned



Finance & Admin Manager
1.Provide timely management reports to relevant process units for strategic decisions. 2.Notify and report to the management concerning any trends that are critical to the company’s financial performance. 3.Ensure the integrity of financial records. 4.Liaise with external auditors during external audits to meet their requirements. 5.Carry out periodic review of accounting processes and systems for continuous improvement. 6.Ensure timely co
ACCOUNTANT
1. KEEPING RECORDS OF TRANSACTONS 2. BANK RECONCILLIATION 3. PREPARING OF LOAN AND REPAYMENT PLAN 5. PREPARE CASH FLOW AND BUDGETING 6. PAYROLL & STATUTORY REDUCTIONS 7. LEDGER AND FINANCIAL STATEMENTS



Navision FMIS Consultant (Finance)
Consultants will be selected in accordance with the procedures set out in the terms of reference (downloadable @ www.ntblcp.org.ng). Interested consultants may obtain further information at the address below during office hours of 8.00am – 5.00pm on Friday, Monday, and Tuesday
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