Role Summary
We are seeking a hands-on Accountant with exposure to treasury operations, financial reporting, and taxation.
The role involves day-to-day accounting activities, month-end reporting, cash management, and regulatory compliance.
Key Responsibilities
Monitor cash flow, prepare payment schedules, and liaise with banks
Support treasury activities and cash flow forecasting
Prepare monthly management accounts and IFRS-based financial statements
Perform bank reconciliations and general ledger reviews
Ensure timely remittance of VAT, PAYE, WHT, CIT, pensions, etc.
Liaise with auditors, tax authorities, and regulators
Support budgeting, asset management, and internal controls
Requirements
Bachelor's degree (First Class or 2:1) in Accounting, Finance, or related field
ACA or ACCA qualification required
3 - 4 years' accounting experience with exposure to treasury and reporting
Strong Excel and Microsoft Office skills
Good analytical, communication, and problem-solving skills
Oil & Gas industry experience is an advantage
Female candidates preferred (for gender balance).