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Experience

    • Nigeria
    • Maritime Transportation
    • 1 - 100 Employee
    • Reconciliation Officer
      • Jul 2022 - Present
    • Nigeria
    • Motor Vehicle Manufacturing
    • 1 - 100 Employee
      • Jan 2021 - Jun 2022

      Reconciliation of Company Account with the Bank StatementPeriodic Submission of Stallion Group Reconciled bank accounts not later than 7th Efficient handling of Transfers from Various Branches to&fro Stallion GroupPosting of salary & pension for Stallion Group, NigeriaBank RelationshipsData entry and reconcile cheque payment vouchers of stallion groupEnsure timely resolution of queries pertaining to cheque payment from divisions and branches for Stallion Group.Correction of entry through general journal in (Oracle Netsuite)Prepare daily report on cheque payment madeCo-ordinate the collection, data entry, filling and reconciliation of cheque paymentMonitoring and update of Stallion Group Suspense AccountResolving any other Issues related to CNC/Sweepings and Unclaimed CreditsHandle any other accounting functions as ordered by the account Head Show less

      • Oct 2018 - Dec 2020

      Accounts Payables TeamHead Account Payables TeamPosting of salary & pension for the entire groupSupervise data entry and reconcile cheque payment vouchers of the groupEnsure timely resolution of queries pertaining to cheque payment from divisions and branchesCorrection of entry through general journal in (Great plain, later Oracle Netsuite)Monitoring and update of Stallion Group Suspense AccountPrepare daily report on cheque payment madeCo-ordinate the collection, data entry, filling and reconciliation of cheque paymentHandle any other accounting functions as ordered by the account Head Show less

      • Jun 2015 - Sep 2018

      Reconciliation TeamHead Reconciliation Team - 2018Handle of Bank Statement to post data entry through GP.Reconciliation of Company Account with the Bank StatementCorrection of entry through general journal in (Great plain)Periodic Submission of Stallion Group Reconciled bank accounts not later than 7th Coordinate the Collection of the Stallion Group Bank StatementsBank RelationshipsReconciliation of Stallion Group Collection Register (Cash and Cheques) Periodic Reconciliation of Stallion Group Cheque Return Register Show less

      • Oct 2012 - Jun 2015

      Accounts Receivables Team Efficient handling of Transfers from Various Branches of Stallion Group DivisionsEnsure Prompt and timely resolution of queries from Stallion Group Various DivisionsPreparation of Daily reports on Cash collection madeApprove finance/collection and clearing through (Great Plain)Resolving any other Issues related to CNC/Sweepings and Unclaimed CreditsEnsure that Cheques returned by the Banks are properly TreatedTimely Preparation and Submission of report of Un-claimed Credits from Division Show less

    • Financial Accounting Teacher
      • Mar 2012 - Sep 2012

Education

  • University of Lagos
    Bachelor's Degree, Economics
    2013 - 2017
  • Lagos State Polythecnic
    National Diploma, Accounting
    2008 - 2011

Community

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