• Manage and record day-to-day accounting transactions for U.S.-based companies.
• Process and maintain accounts payable, expenses, invoices, and payments.
• Review invoices and supporting documentation for accuracy and completeness.
• Monitor and reconcile financial transactions, bank accounts, and company expenses.
• Maintain accurate and up-to-date accounting records.
• Prepare and submit monthly financial and management reports to the Nigeria-based team.
• Assist with month-end and year-end closing activities.
• Prepare account reconciliations and investigate discrepancies.
• Support cash-flow monitoring and other financial analysis as required.
• Ensure transactions are properly classified, documented, and recorded.
• Work with management and other stakeholders to resolve accounting issues promptly.
• Maintain confidentiality of sensitive financial and company information.
• Support audits, tax requirements, and other finance-related activities when needed.
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