New Energy Services Company Limited (NESSCO) is a 100% indigenous company that offers capabilities for Crane Maintenance, Marine Vessels, Portable Buildings, Major Onshore and Offshore Construction Services, Operations and Maintenance Services, Subsea Services and Structures. In conjuction with our technical partners, we offer clients complete project expertise from conception to delivery stage.
NESSCO’s diverse operations and highly skilled professional staff enable the company to execute multi-dimensional international projects, providing clients with the highest level of technical excellence, execution efficiency and local content.
Over the years, we have provided frontier technology leadership for the energy industry’s most challenging Onshore/Offshore projects.
Assist with preparation of the budget and Implementation of financial policies and procedures
Ensure transactions are properly recorded and entered into the accounting system
Assist in the preparation of monthly financial statement
Prepare balance sheet and income statement
Prepare and reconcile bank statements
Review payments by verifying supplier invoice.
Issue out cheques to appropriate payees.
Keep office petty cash and maintain the float.
Maintain and reconcile general ledger
Manage filing, storage and security of financial documents.
Calculate and remit deductions such as staff pensions to various PFA
Preparation of invoices
Reconcile account payable and account receivable
Follow up with the Tax Office in checking and reconciling tax returns & payments when required
Other duties as assigned.
He / she should possess relevant qualifications
At least 5 years post-NYSC experience.
ICAN / ACCA Certificate is compulsory.