34 Revenue Cycle Analyst jobs in Nigeria
Finance & Accounting Analyst
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NW Group
is a diversified holding company pioneering the next frontier of strategic investments across sustainability, energy, security, agriculture, and capital markets. Headquartered in Nigeria and operating across key regional corridors, the group is the parent company of four high-impact subsidiaries.
Role Overview
We seek a detail-oriented and proactive
Finance and Accounting Analyst
to oversee financial reporting, budgeting, and compliance. This role plays a vital part in establishing the financial discipline and regulatory alignment of our organizations, with an experience in bookkeeping, trade finance, and statutory obligations, while ensuring alignment with both local and international standards.
Key Responsibilities
Financial Reporting & Budgeting
- Maintain accurate and up-to-date bookkeeping and financial records.
- Prepare the monthly, quarterly, and annual financial statements in line with IFRS
- Lead the annual budgeting processes, track budget performance, and ensure alignment with operational plans.
Compliance & Regulation
- Ensure timely and accurate tax filings, statutory payments, and regulatory reporting.
- Implement and monitor internal financial controls and audit readiness.
- Stay updated on IFRS and local GAAP standards to ensure compliant financial practices.
Cashflow & Trade Finance
- Oversee payment cycles and cash flow management.
- Manage trade finance documentation and processes related to vendors, banks, and suppliers.
- Monitor cash flow and ensure adequate liquidity for operational needs.
Key Qualifications
Educational & Experience
- Bachelor's degree in Accounting, Finance, Economics, or a related field.
- Relevant professional certification (e.g., ICAN, ACCA) is an added advantage.
- 2– 4 years of relevant experience in finance or accounting.
- Relevant experience in developing and implementing compliance initiatives.
- Practical experience with
IFRS
and
local GAAP
compliance.
Technical and Analytical Skills
- Strong understanding of
IFRS
and
local GAAP
principles. - Proficient with accounting softwares, financial modeling in Excel, and financial analysis.
- Excellent analytical, organizational, and problem-solving skills.
- High attention to detail, accuracy, and confidentiality.
- Strong communication skills and ability to collaborate across the group's subsidiaries.
Senior Accounting Analyst
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About the Role
You're more than just numbers—you're a financial steward and a business partner. As Senior Accounting Analyst, you will blend financial reporting, compliance, and analytical insight to help drive smarter business decisions. With 3–5 years of progressive experience, you'll ensure financial records are sharp, tax obligations are met, and management has the clarity needed for growth and sustainability.
Core Responsibilities
- Financial Record Keeping: Maintain accurate and up-to-date ledgers, payables, receivables, and journal entries while ensuring data integrity across systems.
- Reconciliations: Perform regular bank, intercompany, and balance sheet reconciliations; investigate and resolve discrepancies.
- Expense & Invoicing Management: Process reimbursements, manage vendor expenses, and oversee invoice preparation, tracking, and collections.
- Financial Reporting & Analysis: Prepare financial statements and management reports; deliver variance and trend analysis to guide decision-making.
- Budgeting & Forecasting: Lead annual budget preparation, track performance against budgets, and recommend corrective actions.
- Tax Compliance: Ensure strict adherence to Nigerian tax laws (including 2026 updates); prepare and file VAT, WHT, PAYE, and corporate tax returns accurately and on time.
- Audit & Compliance Support: Coordinate internal and external audit processes, providing reconciliations and supporting schedules.
- Cross-Department Collaboration: Partner with operations, HR, and leadership to deliver financial insights and cost-benefit analyses.
- Special Projects: Drive or contribute to ad-hoc financial initiatives as assigned.
Required Skills & Expertise
- Bachelor's degree in Accounting, Finance, or related field.
- Professional certification (ICAN, ACCA, or equivalent) required.
- 3–5 years of progressive accounting/finance experience (analysis, reporting, compliance).
- Strong knowledge of IFRS, Nigerian tax regulations, and financial reporting standards.
- High attention to detail, independence, and ability to meet deadlines.
- Advanced Excel, financial modeling, and data analysis proficiency.
- Experience with accounting software (Zoho Books, QuickBooks, or similar).
Read the full JD for Senior Accounting Analyst
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Job Type: Full-time
Application Question(s):
- Which accounting software are you proficient in (e.g., Zoho Books, QuickBooks, Sage, etc.)
- Are you familiar with IFRS standards and Nigerian tax regulations (including updates for 2026)
Experience:
- Accounting: 3 years (Required)
License/Certification:
- ICAN or ACCA Certification? (Required)
Senior Accounting Analyst
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Accounting, Auditing & Finance
Lagos Full Time
Recruitment NGN 250, ,000
Job SummaryYou're more than just numbers—you're a financial steward and a business partner. As Senior Accounting Analyst, you will blend financial reporting, compliance, and analytical insight to help drive smarter business decisions. With 3–5 years of progressive experience, you'll ensure financial records are sharp, tax obligations are met, and management h
- Minimum Qualification : Degree
- Experience Level : Mid level
- Experience Length : 3 years
Responsibilities:
- Financial Record Keeping: Maintain accurate and up-to-date ledgers, payables, receivables, and journal entries while ensuring data integrity across systems.
- Reconciliations: Perform regular bank, intercompany, and balance sheet reconciliations; investigate and resolve discrepancies.
- Expense & Invoicing Management: Process reimbursements, manage vendor expenses, and oversee invoice preparation, tracking, and collections.
- Financial Reporting & Analysis: Prepare financial statements and management reports; deliver variance and trend analysis to guide decision-making.
- Budgeting & Forecasting: Lead annual budget preparation, track performance against budgets, and recommend corrective actions.
- Tax Compliance: Ensure strict adherence to Nigerian tax laws (including 2026 updates); prepare and file VAT, WHT, PAYE, and corporate tax returns accurately and on time.
- Audit & Compliance Support: Coordinate internal and external audit processes, providing reconciliations and supporting schedules.
- Cross-Department Collaboration: Partner with operations, HR, and leadership to deliver financial insights and cost-benefit analyses.
- Special Projects: Drive or contribute to ad-hoc financial initiatives as assigned.
Requirements:
- Bachelor's degree in Accounting, Finance, or related field.
- Professional certification (ICAN, ACCA, or equivalent) required.
- 3–5 years of progressive accounting/finance experience (analysis, reporting, compliance).
- Strong knowledge of IFRS, Nigerian tax regulations, and financial reporting standards.
- High attention to detail, independence, and ability to meet deadlines.
- Advanced Excel, financial modelling, and data analysis proficiency.
- Experience with accounting software (Zoho Books, QuickBooks, or similar).
Accounting & Compliance Analyst
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About VEMA Technologies
VEMA Technologies is a dynamic IT and consulting firm at the forefront of technological innovation, specializing in software/app development, ERP implementation, systems integration, financial advisory and business transformation services. As part of an emerging conglomerate which includes investments, agriculture, real estate, and consulting, we are building a holistic ecosystem that bridges technology and our everyday lives.
We partner with forward-thinking clients across various sectors. Our team is a lean, remote-first group of innovators that emphasizes collaboration, agility, and professional growth. We foster a supportive environment where team members contribute directly to high-impact projects, using state-of-the-art tools and platforms. You'll work in a flexible, results-oriented culture that values work-life balance and continuous learning.
Joining us means being part of a startup journey that's shaping Africa's tech and business landscape - apply here:
Position Summary
The role will provide hands-on financial operations and compliance/regulatory oversight for VEMA and selected clients across various industries including hospitality, telecommunications, technology, agriculture, real estate and the NGO sector. The role will lead budgeting and financial modelling initiatives, treasury and cash flow management, audit preparation, and end-to-end statutory compliance (Tax, VAT, WHT, PAYE, PenCom, NSITF, ITF, SCUML and BPP), liaising with financial institutions and regulators to ensure accuracy, timeliness and accountability.
The role will develop policies and SOPs, prepare client proposals and grant applications, and deliver advisory content, training and webinars that strengthen operational discipline and stakeholder confidence. By combining strategic finance and accounting, rigorous documentation and practical advisory, the role will drive fiscal health, risk mitigation and cross functional collaboration in a remote, fast paced environment, while supporting Management with day-to-day operational needs for internal teams and external stakeholders.
Primary Tools
Notion, Slack, Asana, Hubspot, Canva, Loom, Google Suite, AI Tools, Odoo, Zoho Books, QuickBooks, Advanced Excel
RESPONSIBILITIES & DUTIES
(A) Accounting & Regulatory Compliance (40%)
- Manage treasury and working capital functions, including AP/AR cadence, collections, payment runs, approvals, liquidity dashboards, and risk mitigation to ensure adequate cash coverage for operations and the financial growth of VEMA and its clients.
- Act as liaison with financial institutions, banks, credit agencies, and regulatory bodies for onboarding/KYC, mandates, settlements, facilities, and day-to-day treasury matters to optimize cash flow, investment strategies, working capital, capital allocation, debt management, equity financing, and funding needs while minimizing tax liabilities for clients
- Lead budgeting and rolling forecasts; build driver-based financial models, projections, scenario planning, and cost-benefit analyses to inform pricing, cost optimization, investment decisions, performance trends, and capital structure aligned with the business goals of VEMA and its clients.
- Oversee the preparation of management accounts pack, including monthly P&L, balance sheet, cash flow statements, bank reconciliations, performance ratios, and age analysis reports of various entities.
- Forecast cash payments, anticipate challenges from limited cash flow, and manage cash balances to allow effective operations.
- Partner with relevant stakeholders to provide financial support, information, and recommendations on investments, tax considerations, and business transactions for various entities.
- Oversee statutory compliance workflows for VEMA and its clients, including Tax (VAT, CIT, WHT, PAYE, FIRS filings), Pensions (PenCom), Social (NSITF, ITF), AML (SCUML), Public Procurement (BPP), Data Protection (NDPR), and statutory reporting (IFRS/GAAP), managing registrations, filings, remittances, schedules, audit trails, and a compliance calendar.
- Establish and monitor internal controls, systems, and procedures; support internal/external audit processes and liaise with auditors to ensure timely statutory filings, annual audits, and reports without penalties.
- Maintain risk and control registers; conduct audits and mitigate operational, market, and credit risks to protect financial assets and ensure alignment with governance requirements for multiple clients.
- Ensure compliance with all regulatory bodies, both financial and operational, and implement interventions to minimize tax liabilities.
- Analyze general business and financial conditions to assess their impact on policies, operations, and profitability.
- Any other accounting and compliance tasks that may be assigned.
(B) Documentation (40%)
- Draft client proposals and SOW budgets (scope, assumptions, deliverables, commercials, timelines), coordinating reviews, signatures, and repository updates.
- Prepare grant proposals and detailed budgets for VEMA and its clients, incorporating financial models and projections; manage donor compliance (narratives, logframes, financial reports) and submission calendars.
- Develop, implement, and periodically review finance, procurement, compliance policies/SOPs, and user manuals for VEMA and its clients, including HR, tax, and operational guidelines; socialize updates and track adoption aligned with regulatory standards and organizational strategies.
- Draft policies for multiple entities and prepare implementation procedures; review existing policies annually and recommend changes as appropriate.
- Liaise with clients, vendors, auditors, banks, regulators, tax authorities/consultants, and stakeholders to gather requirements, negotiate terms, manage contracts, resolve discrepancies, track payments, and issue receipts/invoices.
- Maintain official records, documents, reports, correspondence, minutes, trackers, evidence packs, and periodic financial statements (P&L, balance sheets, cash flows) in a well-structured, access-controlled cloud repository with strong version control and hygiene for audit readiness and retrieval efficiency.
- Ensure financial reports, accounting systems, and procedures are up-to-date and in compliance with applicable statutory and regulatory requirements.
- Any other documentation tasks that may be assigned.
(C) Advisory (20%)
- Produce long-form finance, accounting, and Web3 thought leadership content for LinkedIn and Medium, translating complex standards and regulations into practical guidance tailored to SMEs, startups, and client contexts.
- Develop technical content and deliver webinars on topics such as budgeting, forecasting, internal controls, ERP/finance systems, and Nigerian statutory compliance; gather feedback to iterate materials for stakeholders.
- Conduct targeted training for clients' finance/ops teams (e.g., month-end close playbooks, ERP processes, tax remittance routines, treasury hygiene, grant compliance) and internal teams, measuring learning outcomes to promote continuous improvement.
- Provide advisory insights to external clients and senior executives on financial risks, opportunities, business decisions, M&A evaluations, investor relations, and new business opportunities.
- Identify, assess, and inform on internal/external issues affecting the organization; evaluate potential mergers, acquisitions, and joint ventures.
- Deliver recommendations on financial and tax considerations; identify and secure project financing, including negotiation and structuring packages.
- Any other advisory tasks that may be assigned.
QUALIFICATIONS
Skills Required
- Proven track record in strategic financial planning, risk management, and tax management.
- Strong knowledge of Nigerian labour laws, tax regulations, data protection (NDPR), international reporting standards (IFRS/GAAP), other statutory provisions and requirements, corporate governance, and financial best practices.
- Knowledge of project management/costing, capital budgeting, cash flow/funds flow analysis, bid management, tendering, procurement, supply chain, asset management, business process improvement, payroll, and commercial/business awareness.
- Strong organizational skills and attention to detail, with the ability to manage multiple tasks simultaneously in a remote, fast paced setting.
- High analytical, problem-solving, and interpretive abilities to navigate complex financial challenges.
- Proven leadership and team-building skills with integrity, ethical standards, and commitment to transparency.
- Proficiency in accounting packages and ERP systems (e.g., QuickBooks, Odoo, Zoho, SAP, Oracle), and advanced Microsoft Office Suite, especially Excel.
- Proficiency in prompt engineering for AI tools to support documentation and financial insights
- Ability to interact with people of all ages, positions and cultural backgrounds
- Ability to handle sensitive and confidential information in a professional manner.
Educational & Technical Requirements
- Bachelor's degree in Accounting, Finance, Economics, or a related field;
- Master's degree (e.g. MBA) and professional certifications such as ICAN, ACCA, CFA, CIMA or compliance-related are desirable.
- At least 5 years of experience in accounting, compliance, financial, or advisory roles, preferably within tech or startup environments, with proven track record in strategic planning, and risk management.
- Personal computer and smart phone
- Personal resources to be online most of the time
Other Work Tools
- Internet & Computer
: Google Drive, Sheets, Docs, MS Office Suite
2. Collaboration
: Zoom, Google Meet, Google Chat, MS Teams, Loom, Teamviewer,
3. Project Management
: Asana, Slack, Evernote, Notion, Trello,
4. ERP
: Odoo, Zoho, QuickBooks,
5. Content & Social
: LinkedIn, X, Instagram, Medium, Hubspot, Contentstudio, Discord
6. AI
: ChatGPT, Grok, Perplexity, Poe, Gemini, Deepseek, MaxAI, CoralAI,
7. Data & Analytics
: Tableau/Power BI
8. Other Tools
: Canva, DocuSign, Google Keep, Figma
Financial Analyst
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Today
S
Financial AnalystScale Army Careers
Accounting, Auditing & Finance
Rest of Nigeria (Nationwide)
Confidential
- Minimum Qualification :
Our client is seeking a Financial Analyst to play a key role in driving the company's financial strategy and decision-making process. You will be responsible for managing various aspects of financial modeling and profitability analysis. Working cross-functionally with marketing, operations, and finance, you will assist in building decks, analyzing financial data, and ensuring that all financial reports are accurate and insightful. Ideally, you bring experience from a startup environment, particularly in the consumer industry, and have a strong understanding of strategic finance, FP&A, and financial modeling.
Location: Fully-Remote (Work from Home), 9 AM - 5 PM EST
Key Responsibilities
- Financial Modeling & Analysis:
- Develop and maintain financial models (e.g., profitability by channel) to support strategic decision-making.
- Analyze key financial metrics such as gross margin, ROI, and other performance indicators to provide actionable insights to leadership.
- Collaborate with marketing and operations teams to understand their financial needs and offer data-driven recommendations.
- Financial Reporting & Performance Analysis:
- Prepare detailed financial reports, including balance sheets, P&L statements, and cash flow analysis.
- Use Excel to track and analyze financial performance, ensuring the accuracy of all data used for reporting and decision-making.
- Create financial decks and presentations to communicate insights to both internal teams and external stakeholders.
- Strategic Finance & Process Improvement:
- Work closely with marketing and operations to forecast future growth and manage resource allocation.
- Provide strategic insights and financial recommendations to leadership, helping shape long-term financial planning.
- Lead continuous improvement initiatives within the finance department, focusing on automating and scaling accounting functions to increase efficiency.
- Recommend and implement process improvements to drive accuracy and streamline operations.
- Ensure alignment between financial performance and company goals by continuously monitoring key financial drivers.
- Vendor & Supply Chain Finance:
- Maintain strong vendor relationships and work closely with operations to resolve accrued purchase issues and clear deposits.
- Perform month-end inventory reconciliations in partnership with the operations team.
- Treasury & Cash Management:
- Support business line of credit reporting and reconciliation to ensure financial liquidity is maintained.
Manage the billing process, ensuring all company billing procedures are streamlined and up to date.
Qualifications
- Experience & Skills:
- 3+ years of experience in financial analysis, FP&A, and/or strategic finance, preferably with a background in banking.
- Strong proficiency in Excel, with the ability to analyze and report on financial performance (gross margin, ROI, etc.).
- Familiarity with financial modeling techniques and understanding of P&L and balance sheet management.
- Experience working in a startup environment, ideally within the consumer industry, is highly preferred.
- Experience with consumer product industry supply chain and manufacturing accounting is preferred.
- CPA certification is a bonus but not required.
- Attributes:
- Excellent communication skills, with the ability to present complex financial information in a clear and concise manner.
- Highly organized, detail-oriented, and able to manage multiple financial projects and deadlines simultaneously.
- Strong ability to work cross-functionally with teams such as marketing and operations to drive financial performance.
Strategic thinker, able to provide financial insights that align with overall business goals.
What Success Looks Like
- Accurate financial modeling and reporting that supports key business decisions.
- Effective collaboration with internal teams to provide valuable financial insights and drive business growth.
- Timely and accurate payroll processing and tax compliance.
Strong, data-driven recommendations that lead to improved financial performance and profitability.
Opportunity
This is a fantastic opportunity to join a rapidly growing company in the health and wellness industry. If you are a strategic thinker with a strong financial background, Excel expertise, and a passion for supporting business growth, apply today to join a team that values innovation, collaboration, and financial excellence.
Application Process
To be considered for this role these steps need to be followed:
- Fill in the application form
Record a video showcasing your skill sets
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Financial Analyst
Posted today
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The ideal candidate will be responsible for using their analytical mindset to analyze and interpret financial data, then relating it to potential business trends and issues. This candidate will feel comfortable using insights they have discovered to communicate important themes and discoveries to company leadership.
Responsibilities
- Analyze current and past financial data and performance to make recommendations on profit enhancement
- Consistently analyze financial information based on both routine and ad-hoc reports
- Interpret financial data to recognize changing trends, patterns, and their meaning related to key performance indicators
- Communicate financial insights suggesting business issues to management
Qualifications
- Bachelor's degree in Accounting, Economics, or Finance or equivalent experience
- 0 - 3 years' financial analysis and modeling experience
- Advanced knowledge of Excel
Financial Analyst
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Company Description
We suggest you enter details here.
Role Description
This is a full-time on-site role for a Financial Analyst located in Lagos State, Nigeria. The Financial Analyst will be responsible for financial planning, creating and analyzing financial statements, handling finance-related tasks, and preparing financial reports. The day-to-day tasks will involve analyzing financial data, creating budgets, forecasting financial outcomes, and making recommendations based on financial insights. Ensuring compliance with financial regulations and company policies will also be part of the role.
Qualifications
- Financial Planning and Analytical Skills
- 1- 2 years' experience with Financial Statements and Finance
- Proficiency in Financial Reporting
- Strong attention to detail and problem-solving skills
- Excellent communication and interpersonal skills
- Ability to work independently and as part of a team
- Proficiency in financial software and Microsoft Excel is an advantage
- Bachelor's degree in finance, accounting, economics, or related field
- Professional certifications are a plus
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Financial Analyst
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Job Title: Finance Analyst - Business Financial Planner
Department: Finance
Location: Victoria Island, Lagos
Job Type: Full-time
About the company:
The company is a Nigerian fashion brand established in 2019, specializing in made-in-Nigeria designs for the internationally minded woman. We create sophisticated and timeless ready-to-wear and bespoke garments that combine modern elegance with African heritage. As we continue to expand, we seek a Finance Analyst/Business Financial Planner who will help drive our growth through insightful financial analysis, strategic planning, investor engagement, and data-driven recommendations.
Job Summary:
The Finance Analyst/Business Financial Planner will play a critical role in analyzing the company's financial health, identifying areas of improvement, and creating a robust financial growth plan. This role also includes identifying investment opportunities, attracting investors, and outlining how investments will be used to support growth initiatives. The ideal candidate will have experience in business planning, financial forecasting, and revenue growth strategies, and will collaborate closely with leadership to guide long-term strategic decisions.
Key Responsibilities:
Financial Analysis & Forecasting:
• Analyze the company's financial performance by reviewing key metrics, including revenue, expenses, cash flow, and profitability; provide forecasts and budget variance analysis.
• Analyze financial information to produce business and economic forecasts to guide decision-making.
• Drive month-end closing by analyzing trial balances, researching general ledger activity, and identifying variances to budget and prior year.
• Revise budgets and closely follow up on collections, payables, stock, sales, and net margin; challenge assumptions and propose revisions as necessary.
Strategic Business Planning:
• Work closely with management to develop long-term business growth plans and financial strategies.
• Analyze current business operations and suggest strategies to improve revenue streams and reduce costs.
• Provide insights on potential expansion opportunities, new revenue models, and operational efficiencies.
Investor Relations & Fundraising:
• Develop financial presentations and pitch decks to attract potential investors and communicate the company's growth potential.
• Identify investment opportunities and secure funding for expansion, product development, and other business needs.
• Engage with potential investors and stakeholders to present financial models, growth projections, and return on investment (ROI) scenarios.
• Ensure that funds are allocated efficiently, in line with business objectives, and provide reports on the impact of investments.
Investment Planning & Capital Allocation:
• Outline how investments will be used for business growth, including scaling production, expanding into new markets, and enhancing operational efficiency.
• Prepare business cases for investment in new products, marketing campaigns, technology, or other areas that require financial support.
• Provide strategic recommendations on how to utilize raised capital for maximum business impact and revenue growth.
Revenue Growth & Cost Efficiency:
• Identify opportunities for revenue growth through new product lines, market expansion, or improved sales strategies.
• Perform financial modeling to assess the impact of different pricing strategies, marketing campaigns, and partnerships.
• Analyze cost drivers and recommend ways to optimize operational expenses.
Financial Reporting & Compliance:
• Prepare and present financial reports and dashboards for senior leadership and investors, providing clear insights into the company's financial performance.
• Ensure accuracy in financial statements, working closely with the accounting team to maintain accurate and timely reporting.
• Prepare variance analyses comparing actual performance to budgeted figures and make recommendations for corrective actions.
Risk Management & Compliance:
• Monitor and mitigate financial risks by ensuring that the company adheres to industry regulations and financial best practices.
• Identify areas of potential financial exposure and provide strategies to minimize these risks.
• Collaborate with external auditors and financial institutions to ensure compliance and reporting accuracy.
Collaboration with Cross-functional Teams:
• Work closely with sales, marketing, and operations teams to align financial planning with company goals.
• Provide financial insights that influence marketing strategies, product development, and business operations.
• Collaborate with the Creative Director to align financial strategies with the company's brand and product objectives.
Qualifications:
• Bachelor's degree in Finance, Accounting, Economics, or a related field.
• 3–5 years of experience in financial analysis, business planning, or similar roles, preferably within the retail or fashion industry.
• Proficiency in financial modeling, forecasting, and analysis tools (e.g., Excel, financial software).
• Strong understanding of financial statements, accounting principles, and business growth strategies.
• Experience in investor relations and fundraising.
• Excellent analytical skills with the ability to interpret data and make actionable recommendations.
• Strong presentation and communication skills, with the ability to explain complex financial information to non-financial stakeholders.
• Experience with business plan development and investment analysis is a plus.
Preferred Skills:
• Knowledge of the fashion industry and retail financial trends.
• Experience with financial software.
• Strong problem-solving skills, with the ability to think critically and strategically.
• Detail-oriented with strong organizational skills and the ability to manage multiple projects simultaneously.
- Only qualified candidates will be contacted for an interview. We encourage all applicants to thoroughly review the job requirements before applying.
Financial Analyst
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The ideal candidates will conduct quantitative and qualitative analysis on financial and non-financial institutions as well as prepare research reports on various sectors of the Nigerian Economy. These candidates will also study and understand the macroeconomic environment of Nigeria, Kenya, Rwanda and Ghana.
Scope of the Job
- Prepare credit rating reports on different institutions as assigned.
- Act as Industry specialist on the industry assigned to him/her. This will include preparing research report(s) on this industry within the timeline agreed with the Head of Research and keeping abreast of developments in this industry.
- Conduct Client Specific Research as assigned.
- Facilitating training sessions on financial management related courses
- Prepare periodic articles for publication on Agusto Market Intelligence (AMI) portal.
- Support client specific consulting engagements when required.
Qualifications and Requirement
- Good Bachelor's degree in Business, Economics, Accounting, Finance or related fields
- Relevant professional qualifications required (ACA, ACCA or CFA)
- MBA or MSc and financial modelling skill will be an advantage.
- Minimum 5 years of experience working as a credit/financial analyst in a reputable financial service organisation.
- Proficiency in Microsoft Office suite (Outlook, Excel, Word, PowerPoint)
- Excellent communication and business writing skills
- Good knowledge of Financial Statement Analysis and Macroeconomics
Financial Analyst
Posted today
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Job Description
Today
O
Financial AnalystOrion Industrial Resources
Accounting, Auditing & Finance
Abuja Part Time
Confidential
- Minimum Qualification :
The ideal candidate will be responsible for using their analytical mindset to analyze and interpret financial data, then relating it to potential business trends and issues. This candidate will feel comfortable using insights they have discovered to communicate important themes and discoveries to company leadership.
Responsibilities
- Analyze current and past financial data and performance to make recommendations on profit enhancement
- Consistently analyze financial information based on both routine and ad-hoc reports
- Interpret financial data to recognize changing trends, patterns, and their meaning related to key performance indicators
Communicate financial insights suggesting business issues to management
Qualifications
- Bachelor's degree in Accounting, Economics, or Finance or equivalent experience
- 0 - 3 years' financial analysis and modeling experience
Advanced knowledge of Excel
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