Bio
Experience
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Oil and Gas
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1 - 100 Employee
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Audit Assistant
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Feb 2016 - Present
• Audit variety of accounting, financial, and operating records and procedures requiring the application of professional accounting and auditing principles.• Critical examination of reports against source records to determine reliability.• Verification of details of recorded transactions; conducts detail examinations of receipt vouchers (RVD)and payment vouchers(PVD), Payroll records, requisitions LPOs, store reception reports and other accounting and operating documents to ascertain whether transactions are properly supported and are recorded correctly.• Review correctness of various Bank reconciliation Statements.• Ensure correctness of various statutory deductions such as PAYE, CPS, NHF, WHT and VAT.• Report on spot check and cash count carried out on monthly basis.• Uses computer programs in the evaluation of data.• Recommends ways to bring systems and operations into compliance with goals and objectives.• Prepares work papers, schedules, and summaries.• Prepares and submits monthly report to the Audit Supervisor and in the absence of the Audit Supervisor to the Internal Compliance Manager.• Any other duties as may be assigned by the Audit Supervisor or the Internal Control Manager.
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Account Officer
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Jan 2011 - Jan 2016
• Raise PVDs, RVDs and JVs ensuring correctness of details.• Capture Vouchers into Sage ensuring correctness of details• Prepare and forward Bank Reconciliation statement (BRS) to Audit• Prepare payroll statutory deduction (PAYE, NHF).• Prepare fund transfer forms and Schedule for payment ensuring error schedule• Prepare WHT and VAT schedule on monthly basis• Carry out reconciliation of Sage to cash book on monthly basis.
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Bold Step Global Resources
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Port Harcourt, Rivers, Nigeria
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Accountant
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Jan 2009 - Mar 2010
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Port Harcourt, Rivers, Nigeria
• Prepare reports summarizing daily transactions and earnings for individual customer accounts. • Working on account books every day and render report to the MD on a daily basis.• Supervision of banking transactions.• Coordinate all company’s procurement activities• Monthly preparation of bank reconciliation account and final account. • Record and document business transactions, such as purchases, sales, and payments, using computers, accounting ledgers.• File, type, and operate standard office machines.
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Trade Watch Limited
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Lagos, Nigeria
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Accountant
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Mar 2008 - Dec 2008
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Lagos, Nigeria
• Working on account books and render report to the MD on a daily basis.• Supervision of banking transactions.• Monthly preparation of bank reconciliation statements and final accounts. • Correspond with customers and confer with co-workers in order to answer inquiries, discuss market fluctuations, and resolve account problems. • Record and document security transactions, such as purchases, sales, conversions, redemptions, and payments, using computers, accounting ledgers, and certificate records. • Prepare reports summarizing daily transactions and earnings for individual customer accounts.
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F. Akinlade & Company (Chartered Accountant)
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Port Harcourt, Rivers, Nigeria
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Audit Assistant
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Mar 2006 - Jun 2007
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Port Harcourt, Rivers, Nigeria
• Reconciliation of bank accounts and preparation of bank reconciliation statement• Setting up of accounting systems• Taxation Services• Partakes in the examination, review and audit of books of accounts and financial transaction.• Partakes in the review and update of internal control systems, audit adjustments of management accounts in agreement with books of accounts and clients accounting policies
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Education
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2010 - 2012University of Port Harcourt
Bachelor of Science - BS, Banking and Finance -
1999 - 2005The Polytechnic, Ibadan
Higher National Diploma, Accounting
Suggested Services
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Industry Focus. “Oil and Gas”
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