Close Menu
  • Home
  • Apply for a Grants
  • Jobs
  • Nigerian Recruitment
Facebook X (Twitter) Instagram
NewBalancejobs
  • Home
  • Apply for a Grants
  • Jobs
  • Nigerian Recruitment
Facebook X (Twitter) Instagram
NewBalancejobs
Home • Treasury Accountant at Bourbon Interoil Nigeria Limited

Treasury Accountant at Bourbon Interoil Nigeria Limited

Join Us on WhatsApp
  • Full Time
  • Lagos
  • Posted 3 years ago
  • Applications have closed
  • Bourbon Interoil Nigeria Limited profile
Bourbon Interoil Nigeria Limited

Bourbon Interoil Nigeria Limited

Treasury Accountant at Bourbon Interoil Nigeria Limited. Please ensure you read the job requirements before applying for this position.

Bourbon Interoil Nigeria Limited, a leading international player in marine services, offers to the most demanding oil & gas clients worldwide a full line of innovative, safe, high performance and new generation vessels and an expanded offer of offshore oil & gas services.

We are recruiting to fill the position below:

Job Title: Treasury Accountant – M/F

Reference: 2022-524
Location: Lagos, Nigeria
Job Type: Onshore
Contract Type: Permanent Contract

Roles and Responsibilities
Mission:

  • To assess, monitor, plan and manage the efficient utilization of cash and financial services in a manner consistent with the objectives of the Company.

Duties & Responsibilities

  • Track, maintain, and overseeing the daily movement of fund in and out of business’ banking accounts;
  • Ensure conformity of company’ bank account with IFRS, fiscal and monetary regulations. Assess risk/return tradeoffs in guidelines.
  • Manage disbursement of petty cash expenses for Lagos office and other locations and perform a monthly inventory of petty cash.
  • Ensure that all cash transactions are supported by an appropriate invoice / receipt;
  • Prepare monthly GL entries and account reconciliations for petty cash, banks, cash advances, AGO and other stock usages, staff loans, other payables and receivables as well as clear reconciling items timely.
  • Monitor and evaluate bank service fees on a monthly basis and address quality issues.
  • Manage all aspects of short-investment portfolios.
  • Assist in the management of banking relationship.
  • Review and update regularly the bank signatories.
  • Prepare daily and weekly cash forecasts for management.
  • Understand and manage appropriate accounting procedures and processes.
  • Recommend, implement and maintain process improvements.
  • Maintains reports, records, and files for all treasury activities.
  • Perform other related duties as assigned for the purpose of ensuring the efficient and effective functioning of the work unit, including special projects.

Qualifications, Skills and Experiences

Minimum level of education required:

  • 3 – Bachelor’s degree (3 years)

Key Skills & Behavior:

  • General knowledge of GAAP and IFRS reporting requirements.
  • Knowledge of investment portfolio strategy, banking, and financial instruments.
  • Advanced analytical, organization, and interpersonal skills.
  • Excellent collaboration, verbal and written communication skills.
  • Able to break down problems into meaningful parts and come to rational and well-thought out conclusions.
  • Demonstrated strong project management skills.
  • Attention to detail and accuracy.
  • Interested in process improvement.
  • Willing to adapt quickly to quick changes in direction.
  • Ability to pick up tasks quickly with on-the-job training experience preferred.
  • Previous experience in purchasing FX currency on the spot market, understanding of foreign currency markets and pricing.
  • Familiarity with basic finance and accounting, including GL accounting systems, allocation methodology, purchase orders, and budgeting.
  • Ability to handle diverse tasks and changing priorities.
  • Ability to work independently and identify and execute improvements in the treasury area. Previous project experience with payment automation is a plus.
  • Maintain a neat work area, professional appearance and personal conduct at all times.

Experience:

  • Must have at least 5 years prior treasury and cash management experience; management experience preferred
  • Extensive experience in preparing cash and bank reconciliation.
  • Experience in building complex financial models to evaluate various financial plans.

Languages:

  • English (5 – Native)

Application Closing Date
Not Specified.

Method of Application 

Interested and qualified candidates should:
Click here to apply online

Previous ArticleGraduate Trainees at GTI Group
Next Article Administration Manager at Save the Children Nigeria
Type Here for More Jobs 🔍
QUICK LINK
  • Canada Open Work Permit November 2026: Eligibility & Step By Step Application Process
  • 26 After-School Jobs For 13-Year-Olds That Pay Well in 2026
  • 10 BEST Jobs for Polyglots 2026
  • Permanent Jobs in Canada ( Feb. 2026) with Visa Sponsorship
  • Apply Now: LEAP-SE Joint for EU–Africa Sustainable Energy Research (Up To €1.5 Million Grant)
  • Apply Now: HP/HP Foundation Future of Work Accelerator 2026 (Up to $100,000)
  • Apply Now: Sir Cyril Taylor Young African Leaders Program
  • Apply Now: WIPO Global Awards 2026 for Innovative & Creative Startups and SMEs Worldwide
  • NDDC Skill Development Training and Empowerment Programme 2026 — Hands-On Training, Monthly Stipend & Certification (Nigeria)
  • Apply Now: Her Africa Early Stage Incubator (HAESI) 2026 — Empowering Young Leaders Across Africa
Explore Topics
Telegram
Join telegram channel!
Facebook X (Twitter) Instagram Pinterest
  • Disclaimer
  • Contact us
  • About us
  • Privacy Policy
  • Cookie Policy
© 2026 ThemeSphere. Designed by ThemeSphere.

Type above and press Enter to search. Press Esc to cancel.