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Aladeniyi
Personal data and contacts will be open only to employers with access to CV database
Accountant 110 000
Job Type: Full-Time , open to relocation

Education

From 0 to 2008
Olabisi Onabanjo University
No added languages

Experience

Accountant
Learning Resources Nig. Ltd
October 2012 - Present Day (4 years 8 months)

RESPONSIBILITIES:

 Verify and manage all payables

 Perform daily cash receipts, deposits, expenses and reports.

 Administering payroll preparation and maintaining petty cash for the office.

 Verify and record all reimbursement account and create bills to be paid.

 Responsible for the process of internal customers’ payment.

 Keeping and updating fixed asset register.

 Responsible for banking transactions and reconciliation.

 Preparation of staff payroll and liaise with LSIR/FIRS.

 Responsible for reconciliations, corrections, during the student billing and revenue recognition

 Bank Reconciliation of all bank accounts on monthly basis.

 Periodic submission of accounts payables to the Managing Director

 Keep records of daily transactions, activity and supervise Organizational Cash flow

 Work with various departments to ensure timely and accurate processing

 Prepare monthly and annual budgets

 Work closely with the Audit firm in compiling the end of year financial documents

 Any other duties as assigned

Accountant
HydroDive Nigeria Limited
June 2011 - October 2012 (1 year 5 months)

 Maintaining of imprest Account and Posting of petty Cash Voucher

 Preparation of monthly Inter-company accounts reconciliation

 Naira Petty Cash/float disbursement

 Posting of both naira and FX PC transactions

 Payment Processing and Posting

 Makes returns and files remittance notice with the FIRS

 Ensures prompt collection of payment receipts (bulk and individual)

 Create GRN for all Purchase Orders against received Invoice

 Post all Suppliers’ Invoices for HOIL & CML

 Daily Tracking and Update of Personnel Flight Info

 Reconciles Booked in cost with actual Invoice on receipt

 Bank Reconciliation of all bank accounts on monthly basis

 Reconciles Payments on DGR’s credit card statement with actual Invoices

 Assist in the preparation of financial Statements

 Any other duties as assigned

Accountant
Learning Resources Nig. Ltd
April 2010 - May 2011 (1 year 2 months)

Example:

Responsibilities:

Selling ad space on the site hobatoba.com

Preparation of accounting records

Achievements:

Increased sales by 10% in the first half of 2011

Additional information

About Me

Proficient in Application packages such as windows, Microsoft Outlook, Microsoft Word, Microsoft Excel, Microsoft Access, PowerPoint, Palladium, Syspro, SAGE 50 and Peachtree