Oluwadamilola Oyebunmi
Personal data and contacts will be open only to employers with access to CV database
Accountant 200 000
Job Type: Full-Time

Education

From 0 to 2000
The Polytechnic Ibadan, Oyo State.
From 0 to 1995
Federal Goverment Girls' College, Bwari Abuja
From 0 to 2011
Institude of Chartered Accountants of Nigeria
No added languages

Experience

ACCOUNTANT
HATLAB ICEC-CREAM DELITE LIMITED
August 2010 - February 2013 (2 years 6 months)

Upholding of an organized account system to ensure adherence to Generally Accepted Accounting Principles.

Preparation and monitoring of budget.

Preparation of financial and management reports.

Management of account receivables and account payables.

Inventory management and control.

Ensuring compliance to statutory regulation and obligations.

Ensuring compliance to internal control procedures.

Payroll management.

Management of fixed Asset and investment portfolios.

Product costing and price determination.

Financial advice to stakeholders.

Achivements:

Compliance to statutory regulations.

Standardize inventory management system.

Standardize internal control procedures.

Accountant
CT ACCESS ICT LTD.
May 2008 - May 2010 (2 years 1 month)

Preparation of management reports.

Preparation of cash flow forecast

Preparation and monitoring of budget

Ensuring compliance to statutory regulation and obligations.

Ensuring compliance to internal control procedures.

Fixed Asset management.

Financial advice and recommendation.

Liaising with statutory organization (e.g. FIRS, PFA, Banks & Insurance Firms)

Management of suppliers and debtors account.

Job costing and evaluation.

Bank account reconciliation

Account Officer
Consolidated franchise Holdings
August 2007 - May 2008 (10 months)

Preparation of Income Statement.

Branch account reconciliations.

Management of suppliers and debtors account.

Stock costing and valuation.

Preparation of staff salaries.

Computation and remittance of staff deductions.(PAYE, Pencom NHIS).

Computation and remittance of value added tax (VAT).

Bank accounts reconciliation

Control & Maintenance of Franchisee Accounts.

Computation of Franchise fee and contributions.

Account Officer
Acti-Tech Ltd.
August 2004 - October 2006 (2 years 3 months)

Maintenance of suppliers/creditors accounts (hard copy & Peachtree).

Maintenance of Debtors Account (hard copy & Peachtree).

Daily posting of Receipts, Payment Vouchers, and Invoices via Peachtree.

Preparation of monthly income statement.

Preparation of bank reconciliation statements.

Preparation of Staff Salary & Allowances.

Registration of Staff with Pension Administrators

Preparation of Staff monthly Pension contributions and Tax deductions.

Opening of salary Accounts for new staffs.

Daily report on cash/bank position.