MUMINI JIMOH
Head, Account and Finance at STS WORLDWIDE SHIPPING- Claim this Profile
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Bio
Experience
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STS WORLDWIDE SHIPPING
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Nigeria
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Transportation, Logistics, Supply Chain and Storage
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1 - 100 Employee
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Head, Account and Finance
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Mar 2018 - Present
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Board Trustee
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Jul 2013 - Present
Reviewing monthly financial statements, ensuring balance sheet accounts are properly analyzed, ensure compliance and coordination of budget and its implementation, analysis of variation, involvement in financial structuring, restructuring, fund management and credit control of the company, coordination of capital and recurrent expenditures of the company, ensuring both internal and external audit compliance, ensure proper risk management strategies, payroll analysis and coordinating all financial reconciliation of the company.
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Partnership for Child Development, Imperial College London
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Non-profit Organization Management
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1 - 100 Employee
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Managment consultant
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Mar 2017 - May 2018
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Institute of Islamic Finance Professionals
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Financial Services
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Institute Registrar
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Nov 2015 - Feb 2018
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AGM- BUSINESS DEV., CONTROL & STRATEGY
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Mar 2010 - Feb 2015
Coordinating the bank business development activities, Credit Relationship Management, marketing, control, coordination business activities in the branches, management of branch treasury, customer service, foreign exchange Reviewing monthly financial statements, ensuring balance sheet accounts are properly analyzed, ensure compliance and coordination of budget and its implementation, analysis of variation, involvement in financial structuring, restructuring, fund management and credit control of the company, coordination of capital and recurrent expenditures of the company, ensuring both internal and external audit compliance, ensure proper risk management strategies, payroll analysis and coordinating all financial reconciliation of the company.
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ENERGY EQUITY RESOURCES
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Oil and Gas
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1 - 100 Employee
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HEAD , CORPORATE FINANCE (CONTRACT)
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Mar 2012 - Feb 2014
• Preparation of any financial statements as required by the management• Preparation and coordination of budget and its implementation• Active involvement in analysis of variation and finding solutions to negative variance.• Involvement in financial structuring, restructuring, fund management and credit control of the company.• Coordination of capital and recurrent expenditures of the company• Ensure proper documentation of all financial matters through necessary journals and preparation of final accounts.• Responsible for the financial relationship with prospects, existing customers, banks and vendors.• Helped prepared financial plans, feasibility studies and due diligence exercises for clients both home and abroad. • Ensure proper risk management strategies.• Ensure prompt preparation and proper rendition of taxes to the appropriate authorities. • Preparation and Management of cash flow of the company.• Management of Company Treasury• Management of treasury and FOREX including maintenance of currency forecasting models if necessary.• Responsible for tax calculation and rendition of appropriate reports to government agencies. • Coordinating all financial reconciliation of the company.- cordination of sales department, forecating of sales volume.
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FINANCIAL CONTROLLER
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Aug 2009 - Mar 2012
•Preparation of any financial statements as required by the management•Preparation and coordination of budget and its implementation•Active involvement in analysis of variation and finding solutions to negative variance.•Involvement in formulation and implementation of financial and fiscal policies of the company•Coordination of capital and recurrent expenditures of the company•Ensure proper documentation of all financial matters through necessary journals and preparation of final accounts.•Responsible for the financial relationship with prospects, existing customers, banks and vendors.•Helped prepared financial plans, feasibility studies and due diligence exercises for clients both home and abroad. •Ensure proper risk management strategies.•Participated in several brainstorming sessions leading to strategy formulation. •Preparation and Management of cash flow of the company.•Management of treasury and FOREX including maintenance of currency forecasting models if necessary.•Responsible for tax calculation and rendition of appropriate reports to government agencies. •Coordinating all financial reconciliation of the company.
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Intercontinental Bank PLC
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Nigeria
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Banking
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700 & Above Employee
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Business Development Manager
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Jan 2007 - Dec 2009
Credit Relationship Management, marketing, control, coordination businessActivities in the branch, management of branch treasury, customer service, foreign exchange business, liaise with regulatory agencies. Credit Relationship Management, marketing, control, coordination businessActivities in the branch, management of branch treasury, customer service, foreign exchange business, liaise with regulatory agencies.
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Assistant Manager (Financial Control)
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2002 - 2005
• Responsible for preparation of Income Statement and Balance Sheet of Branches.• Analysis of the branches performance based on their reports.• Monitoring and report the variances to the managements.• Recommend appropriate solution to any negative variance• Participation in formulation of budgetary procedure for the bank.• Prepare budget for the region and allocate targets to each branch.• Management of the bank fixed assets• Handling of all tax related issues for the bank and the staff• Management of Assets and Liability of the bank• Reconciling the books of the branch with head office• Monitoring of Overhead cost of the region and the branch• Management of the risk assets of the bank. • Reconciliation of the accounts• Involvement in all strategic meetings like Management Performance Review committee etc.• Renditions of reports to management and regulatory authorities.
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UBA
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Brazil
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E-Learning Providers
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Credit/Marketing officer/control
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Sep 2000 - 2002
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IAL LOGISTICS LIMITED
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India
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Truck Transportation
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Accountant
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1998 - 2002
Preparation of any financial statements as required by the management, involvement in formulation and implementation of financial policies of the company, preparation of budgets with the management, responsible for the financial relationship with prospects, existing customers and vendors, helped, prepared financial plans, feasibility studies and due diligence exercises for clients both home and abroad, management of treasury of the company and responsible for tax calculation, rendition of appropriate reports to government agencies, coordinating all financial reconciliation of the company.
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Education
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University of Lagos
Master's degree, Management -
University of Lagos
Master's degree, Accounting -
Delta State University (NG)
Master of Business Administration (MBA), Marketing -
Institute of Chartered Accountants of Nigeria (ICAN)
Associate Member (ACA), Accounting -
Ogun State University Now Olabisi Onabanjo University
Bachelor's degree, Accounting