Key Responsibilities
Requirements
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Company
Esetech
Location
Abuja, nigeria
Employment
Full Time
Work style
Onsite
Experience
Valid until
September 6, 2026
Created
September 2, 2026
Ashbard Energy Company Limited
Rivers, nigeria
Key Responsibilities: Maintain accurate accounting records, including Accounts Payable and Receivable. Prepare financial reports, statements, and reconciliations. Monitor paid and unpaid invoices and follow up on outstanding receivables. Assist with budgeting, forecasting, audits, and tax preparation. Ensure compliance with applicable financial regulations and company policies. Identify and resolve accounting discrepancies promptly. Maintain confidentiality of financial information. Requirements: B.Sc./HND in Accounting, Finance, or a related field. 5+ years' relevant experience. Advanced knowledge of Microsoft Excel. Knowledge of accounting software. ICAN/ACCA certification is an added advantage.
2 days ago
BSS Consulting Limited
Lagos, nigeria
BSS Consulting Limited engages in HSE, Consultancy, Outsourcing and Training. We render services for Manufacturing, Oil and Gas, Financial Institution and other corporate organization. The company was incorporated on 26th October, 2003 (RC 498083). We are recruiting to fill the position below: Job Position: Account Officer Job Location: Surulere, Lagos Employment Type: Full-time Requirements…
White Soul Motors
Cross River, nigeria
White Soul Motors Ltd is a subsidiary of White Soul Investment Ltd, a company incorporated under the Company and Allied Matters Act, 1997. We are a leading player in automobile sales industry, providing accessible and affordable vehicles and maintenance services tailored to meet specific requirements. White Soul Motors Ltd is enriched with track record of 19 years operational license. Our core business area is centered on Importation, Distribution and Sales and Marketing Automobiles in Nigeria.…
Agiville Industries Limited
Agiville Industries Limited is a manufacturing company based in Mile 2, Lagos involved in the mass production of high quality plastic environmental waste bins for domestic, commercial and industrial use. We are recruiting to fill the position below: Job Position: Account Officer Job Location: Lagos Employment Type: Full-time Requirements Must be a graduate…
4 days ago
Seed Co Nigeria Limited
Plateau, nigeria
Seed Co Nigeria Limited is a joint venture between Seed West Africa Limited (a subsidiary of Seed Co International Limited, a public listed company incorporated in Zimbabwe and quoted on the Zimbabwe Stock Exchange) and Saro AgroSciences Limited a leading Nigeria Agro Input Provider. We are recruiting to fill the position below: Job Position: Sales Node Account Officer Job Location: Shendam, Plateau Employment Type:…
Creseada International Limited
The ideal candidate should have 2 -5 years' experience. The role requires that candidate ensures timely payments, accurate accounting, and reconciliation for all expenditures through close working relationship with the relevant parties in compliance with Company approved approval limits. Operational Responsibilities: Ensure all petty cash disbursements are in compliance with company policy & authorization limits. Process bills and suppliers' invoices and ensure compliances/approval have been obtained before payment. Charge expenses to accounts and cost centre by analyzing invoice/expense reports and recording entries. Pay vendors by monitoring discount opportunities, verifying tax identification numbers, scheduling payments, resolving purchase order, contract, invoice, or payment discrepancies and documentation. Ensure tax compliance in transactions processing on daily transactions. Disbursement and monitoring of cash advances/IOUs to Staff. Maintain, manage & update transaction posting in bank management and payables modules ofSage. Daily cash count and preparation of cash position. Maintain an effective & efficient filling system (corporate files & transaction files). Assist with period-end ledger closing through call-up & reconciliation of general ledger balances. Daily reconciliation of petty cash account. Monthly reconciliation of other balance sheet accounts. Track all direct credits to the various bank accounts to ensure value is promptly received. Ensure monthly bank reconciliations for all banks.