Chinonye Okere
Accountant en Victory Empowerment Centre
Nexford University
Nigeria
¡Hola, soy Chinonye Okere!
Accountant en Victory Empowerment Centre
An accomplished accountant with leadership experience in financial institutions and expertise in fintech and blockchain, acquired through formal education and additional training.
Redes sociales
No se agregaron enlaces sociales
Experiencia
Victory Empowerment Centre
Accountant
March 2018 - Presente
• Conduct routine branch visits to assist with policy implementation • Preparation of monthly management report • Prepare company payroll • Bank reconciliation • Staff loan management • Carry out all finance and account related issues for the company • Open bank accounts for all branches • Relate with the banks on behalf of the organization • Charged with data gathering, Management Information System (MIS) reports and other special reports for management.
Victory Empowerment Centre
Accountant
January 2018 - Presente
Conduct routine branch visits to assist with policy implementation Preparation of monthly management report Prepare company payroll Bank reconciliation Staff loan management Carry out all finance and account related issues for the company Open bank accounts for all branches Relate with the banks on behalf of the organization Monitor liquidity / cash flow Data gathering, Management Information System (MIS) reports and other special reports for management
Fortis Micro Finance Bank Plc
Reconciliation Officer
May 2015 - January 2018
• Daily reconciliation of corresponding bank accounts with their respective general ledgers • Prepare reconciliation journals on corresponding bank accounts • Track movement of funds from head office to all branches and ensure all unused funds/idle funds are repatriated to head office • Daily call-over of transactions to ensure transaction were posted correctly
Fortis Micro Finance Bank Plc
Reconciliation Officer
January 2015 - January 2018
Daily reconciliation of corresponding bank accounts with their respective general ledgers Prepare reconciliation journals on corresponding bank accounts Track movement of funds from head office to all branches and ensure all unused funds/idle funds are repatriated to head office Daily call-over of transactions to ensure transactions were posted correctly
Certificaciones y Distintivos
No se agregó certificaciones o distintivos
Proyectos
No se agregaron proyectos
Idiomas
Inglés
Habilidades
Excel
Mathematica
Finance & Accounts
¿Listo para una experiencia personalizada? Utilizamos cookies y tecnologías similares para adaptar nuestro sitio especialmente para ti. Al hacer clic en 'Aceptar', nos das luz verde para utilizar cookies y tecnologías similares. 🍪