NIGERIA PORTS AUTHORITY (OFFICE OF THE EXECUTIVE DIRECTOR WESTER PORT APAPA LAGOS
May 2012 - May 2012 (1 month)
Keeping and maintaining trade creditors and trade debtor’s account
- Preparation of cash flow statement
- Preparation of bank reconciliation statement on a monthly basis
- Attend to external auditors in terms of answering audit queries as the case may be
- Responsible for stocktaking and stock valuation on a monthly basis
- Prepare financial statements, bank reconciliation, cash flow statement and perform and all admin jobs.