Daily spooling of General Ledger (GL) balances of branches and head office departments. Review of the GL pull out of GL sub-heads. Preparation of Monthly Income and Expenses trends for input into the MANCO financial report. Liaising with branches
Duties and Responsibilities Responsible for processing and delivery of all FX allocation for all products To provide strong support in delivery service excellence for the assigned unit or department and ensure successful implementation of all turn-around-time
DetailsDescriptionDuties and Responsibilities Responsible for the reconciliation of all accounts tagged to Treasury and Investment Operations (Nostro, Vostro, GLs, Suspense, Receivables, Payables, Blotter), ensuring and validating accurate and timely settlement and reconciliation of the underlying Trade transactions.
Daily spooling of General Ledger (GL) balances of branches and head office departments. Review of the GL pull out of Income & Contingent sub-heads. Performs In-depth Investigation on GL to identify wrong postings, irregular and abnormal balances oraccounts with
DUTIES & RESPONSIBILITIES • Analyze control reports as rendered by Regional Control Managers and extract high risk exceptions for escalation to management • Collate and analyze the monthly ATM & Physical Cash Tracking Report, Unusual Incidents
Responsible for provision of operational lead for Negotiation of presentations on Documentary Credit and Guarantees Processing and Authorization of Trade Loans Booking and Liquidations, Payments and Remittances on Documentary Credits and Matured Trade Loans. Provides Operational
Handles Negotiation of Documentary Presentations, Trade Loans Booking, bookkeeping, Payments, and Remittances on negotiated presentations and matured trade loans for the bank. Enforcement of compliance and regulatory dictates on Payment and Negotiation functions, ensuring that the
Responsible for overall coordination, management, and administration of all Trade Credit Lines, Negotiation of Presentations on Documentary Credit, Booking and Liquidation of Trade Loans, , Payments and Remittances on negotiated presentations and matured loans for the
DetailsDescriptionSummary of Job Role (Duties and Responsibilities) Manage the execution of the Bills for Collection, PAAR Processing, and Form M Processing functions, ensuring alignment with the bank’s goals, strategies, and regulatory obligations. Oversee the end-to-end process
The International Institute of Tropical Agriculture seeks suitable Nigerian nationals for the position below at the Institute’s Headquarters in Ibadan. Position: Accountant II (Bank Reconciliation) Contract: 3-years renewable contract Location: Ibadan Closing Date: 12 June 2026.
The Assistant Head of Operations will coordinate branch operational activities to ensure efficient service delivery, effective cash management, and excellent customer service. The role also involves ATM monitoring, supervision of frontline operations staff, and supporting the
Vacancy: Accounts and Audit Supervisor(with experience within Audit and Consulting Space/FMCG) Location: Ikeja, Lagos Salary: N650,000 NET Company: Beverage production Job Summary The Assistant Manager, Accounts will be responsible for supporting the effective management of the