Vincent Imoriafe
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Treasury Assistant at Hyde Energy Limited
Role Interest - Free / Stipend / Paid
Lagos, Nigeria
Offline
About Me
A motivated, experienced, and results-driven professional accountant imbued with exceptional technical and analytical skills who has over the years developed strong affinity with the accounting and finance profession. Having almost two (2) years extensive experience in Treasury and Financial Reporting functions with high proficiency in the use of Sage ERP and Microsoft Office Tools. Highly knowledgeable about accounting and financial principles as well as accounting packages.

Areas of Interest
General
Education
Education
Creative Industry
Creative Industry
Creative Industry
NGO
Entertainment
Media
Vocational Skill
Real Estate
Agriculture
Religion
Engineering
Sales
Legal
Skills
Financial Reporting
Sage ERP
Excellent Communication Skills
Account Payables and Receivables Specialist
Detailed Oriented
Microsoft Office Tools

Work Experience

Treasury Assistant

Hyde Energy Limited
2020 - Present
Lagos, Nigeria
• Working with the Financial Reporting team on financial statements review and analysis.
• Processing of local and foreign payments to vendors and daily posting of all payments to vendors or GL account.
• Performing vendors account and general ledger review daily and weekly.
• Assisting in account payable management such as preparation of weekly account payable due.
• Assisting in account receivables management such as daily posting of all confirmed products payments, tracking account receivables at due dates, cash inflows and cash sales reconciliation.
• Ensuring timely reconciliation of the bank statement ahead of monthly end reconciliation.
• Processing of statutory payments PAYE, Pension WHT & VAT, ITF, NHF & NSITF in a timely manner.
• Providing source documents and following-up with Tax Consultant on monthly filling of returns.
• Performing other duties assigned by the Treasury Officer.

Trainee Accountant

Reliance Account Limited
2020 - 2021
London, UK
• Performing financial statement analysis review and bank statement reconciliations.
• Reviewing on daily basis, major bank statement for tracking on gaps between the bank statement and cash book.
• Monitoring payments due from clients and promptly contacting clients with for due payments.
• Preparing weekly Account receivable and payable Aging report and updating the status of customer and vendors account.
• Performing other duties assigned.

Education

Federal University of Agriculture, Abeokuta Nigeria

Accounting
2016 - 2020
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