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Busayo
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Accountant 6 000 000
Job Type: Full-Time , open to relocation

Education

I have no education
No added languages

Experience

Senior Accountant
Lagoon Hospitals(Hygeia Nig.Ltd)
April 2013 - Present Day (4 years 2 months)

•Ensuring that all financial matters are undertaken in accordance with generally accepted accounting principles, the group's accounting policies and other applicable regulatory guidelines. •Prepare monthly, quarterly and annual management report including variance analysis. •Assist with the preparation and analyzing financial statement on a monthly basis and report on variances. •Analyze revenue and expenditure trends and recommend appropriate budget levels and ensure expenditure control. •Analyze revenues and expenses to ensure they are recorded and recognized appropriately. •Participation in preparation and implementation of annual budget plans. •Develop effective and regular treasury and ad-hoc analytical reports to enhance management decision making. •Develop cost procedures, implement and monitor in line with procurement process. •Management of Fixed assets process, policy and other procedures. •Other emerging duties related to accounting functions as assigned.

Accountant
LTC-JWT Advertising Ltd
March 2011 - March 2013 (2 years 1 month)
  • Preparing monthly schedules/reports for all suppliers outstanding, and ensuring that all financial transactions are properly documented
  • Periodic reconciliations of intercompany accounts, suppliers and clients accounts.
  • Reconciliation of bank statements and reporting on all bank accounts of the company and also ensures that all accounts in the general ledgers are properly reconciled.
  • Assist in the preparation of timely cash flow statement, Profit& Loss, and other financial reports for decision making.
  • Prepares monthly summary schedules of withholding tax (WHT) and renders monthly returns for PAYE, WHT, Pension & other statutory deductions.
  • Maintain the fixed asset register of the company and ensure regular update of the asset register with additions, transfer and disposals. .
  • Ensuring the petty cash payments are promptly coded, posted and reconciled to avoid loss of transaction, delay in financial statement preparation.
  • Interact with suppliers on financial reconciliation of accounts and follow up to ensure proper resolution of any arising issues.
  • Other emerging duties related to accounting functions as assigned