JOB DESCRIPTION/RESPONSIBILITIES:

Reconcile bank statement with cashbook
Collate posting of charges
Inventory monitoring and management
Reform spot checks and reconcile variances on daily basis
Post transaction and reconcile complaint from customers
Partake in receiving of products into warehouse
Post Depot Transaction and client receipts
Reconcile customer ledger and depot stock
Participate in stock counts and reconciliation

QUALIFICATION:

B.Sc /HND in Account, Finance

SKILLS REQUIRED

Minimum of 3 years cognate experience in inventory Management
Working knowledge of Ms Excel
Experience in ERP
  • Finance
  • Accounting
  • Audit