- Bank account opening, mandate review
- Funds transfer, loans and overdrafts and facility management
- Daily Treasury reporting
- Cash flow projections/forecasts
- Vendor and supply payments
- Import processing documentation- letter of credit and account funding for foreign supply transactions
- Petty cash operations management
- General ledger reconciliation, half and full-year closure
Requirements
- Bachelor’s Degree / HND qualification
- Minimum of 5 years proven work experience
- ACA or ACCA Certification



