Account Reconciliation Officer at Fatgbems Petroleum Company Limited
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Account Reconciliation Officer at Fatgbems Petroleum Company Limited September, 2026 | MyJobMag window.dataLayer = window.dataLayer || []; function gtag(){dataLayer.push(arguments);} gtag('js', new Date()); gtag('config', 'G-SMD4ZL13FW'); { "@context": "http://schema.org", "@type": "JobPosting", "title": "Account Reconciliation Officer", "datePosted": "2026-09-04T15:45:42+01:00", "validThrough": "2026-09-15T00:00:00+0000", "hiringOrganization" : { "@type" : "Organization", "name" : "Fatgbems Petroleum Company Limited", "sameAs" : "https://www.myjobmag.com/jobs-at/fatgbems-petroleum-company-limited" }, "educationRequirements": { "@type" : "EducationalOccupationalCredential", "credentialCategory" : "bachelor degree"}, "employmentType": "Full Time", "experienceRequirements": { "@type" : "OccupationalExperienceRequirements", "monthsOfExperience" : "60" }, "industry": "Oil and Gas", "occupationalCategory":"Finance / Accounting / Audit", "jobLocation": { "@type": "Place", "address": { "@type": "PostalAddress", "addressLocality": "Ikeja", "addressRegion": "Lagos", "addressCountry": "NG" } }, "image":"https://www.myjobmag.com/company_logo/34131Fatgbems.jpg", "description": "<p><strong>Job Summary</strong></p> <ul> <li>The Account Reconciliation Officer will be responsible for ensuring the accuracy and completeness of the company’s financial records through timely reconciliation of bank accounts, customer accounts, supplier accounts, general ledger accounts, and other financial balances.</li> <li>The role will identify discrepancies, investigate variances, and ensure appropriate corrections are made in line with company policies and accounting standards.</li> </ul> <p><strong>Key Responsibilities</strong></p> <ul> <li>Perform daily, weekly, and monthly reconciliation of bank accounts and other financial accounts.</li> <li>Reconcile customer and supplier accounts and investigate outstanding balances.</li> <li>Compare accounting records with bank statements, invoices, receipts, payment records, and other supporting documents.</li> <li>Identify and investigate discrepancies, unusual transactions, and unreconciled items.</li> <li>Follow up with relevant departments and stakeholders to resolve reconciliation issues promptly.</li> <li>Prepare reconciliation statements and schedules for management review.</li> <li>Ensure all reconciling items are properly documented, investigated, and cleared within agreed timelines.</li> <li>Review general ledger accounts to ensure accuracy and completeness of postings.</li> <li>Assist in identifying duplicate, missing, or incorrectly posted transactions.</li> <li>Maintain proper documentation and audit trails for all reconciliations.</li> <li>Support month-end and year-end closing activities.</li> <li>Assist with audit exercises by providing reconciliation schedules and supporting documents.</li> <li>Monitor outstanding items and prepare periodic reports on unresolved balances.</li> <li>Ensure compliance with company accounting policies, procedures, and applicable accounting standards.</li> <li>Perform other accounting and reconciliation duties as assigned by management.</li> </ul> <p><strong>Required Qualifications</strong></p> <ul> <li>B.Sc. / HND in Accounting, Finance, Economics, or a related field.</li> <li>ICAN qualification or ATS certification is required.</li> <li>5 -10 years of relevant experience in accounting, reconciliation, audit, or financial operations.</li> <li>Strong knowledge of accounting principles and financial reporting.</li> <li>Proficiency in Microsoft Excel and accounting/ERP software.</li> <li>Experience handling high-volume financial transactions and reconciliations.</li> <li>Strong analytical and problem-solving skills.</li> <li>High level of accuracy and attention to detail.</li> <li>Good communication and follow-up skills.</li> <li>Ability to work independently and meet strict deadlines.</li> <li>Experience in the downstream oil and gas industry will be an added advantage.</li> </ul>" } @keyframes pulse { 0% { transform: scale(1); } 50% { transform: scale(1.1); } 100% { transform: scale(1); } } @keyframes slide { to { transform: translateX(4px); } } .prompt-link { display: flex; align-items: center; gap: 0.75rem; padding: 0.6rem 0.9rem; background: linear-gradient(to right, #2563eb, #9333ea); color: white; text-decoration: none; border-radius: 9999px; font-weight: 500; box-shadow: 0 10px 15px -3px rgba(0, 0, 0, 0.1); transition: transform 0.3s ease, box-shadow 0.3s ease, background 0.3s ease; } .prompt-link:hover { transform: scale(1.02); box-shadow: 0 20px 25px -5px rgba(0, 0, 0, 0.1); background: linear-gradient(to right, #1d4ed8, #7e22ce); } .icon { width: 20px; height: 20px; } .prompt-link:hover .icon-scan { animation: pulse 2s infinite ease-in-out; } .prompt-link:hover .icon-arrow { animation: slide 0.3s forwards ease-out; }
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- Account Reconciliation Officer at Fatgbems Petroleum Company Limited
- View Jobs in Oil and Gas / View Jobs at Fatgbems Petroleum Company Limited
Posted: Sep 4, 2026
Deadline: Sep 15, 2026
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Fatgbems Petroleum Company Limited is a member of Fatgbems Group, incorporated as an independent petroleum marketing company under the late founder, Alhaji Fatai Gbemisola in November 1994. The company started the Retail Station services operation with a fuel service Station in Ejigbo, Lagos in 2006. The multi-million petroleum marketing business expanded ra...
Account Reconciliation Officer
- Job Type Full Time
- Qualification BA/BSc/HND , Professional Certificate
- Experience 5 - 10 years
- Location Lagos
- City Ikeja
- Job Field Finance / Accounting / Audit 
- Salary Range ₦200,000 - ₦300,000/month
Job Summary
- The Account Reconciliation Officer will be responsible for ensuring the accuracy and completeness of the company’s financial records through timely reconciliation of bank accounts, customer accounts, supplier accounts, general ledger accounts, and other financial balances.
- The role will identify discrepancies, investigate variances, and ensure appropriate corrections are made in line with company policies and accounting standards.
Key Responsibilities
- Perform daily, weekly, and monthly reconciliation of bank accounts and other financial accounts.
- Reconcile customer and supplier accounts and investigate outstanding balances.
- Compare accounting records with bank statements, invoices, receipts, payment records, and other supporting documents.
- Identify and investigate discrepancies, unusual transactions, and unreconciled items.
- Follow up with relevant departments and stakeholders to resolve reconciliation issues promptly.
- Prepare reconciliation statements and schedules for management review.
- Ensure all reconciling items are properly documented, investigated, and cleared within agreed timelines.
- Review general ledger accounts to ensure accuracy and completeness of postings.
- Assist in identifying duplicate, missing, or incorrectly posted transactions.
- Maintain proper documentation and audit trails for all reconciliations.
- Support month-end and year-end closing activities.
- Assist with audit exercises by providing reconciliation schedules and supporting documents.
- Monitor outstanding items and prepare periodic reports on unresolved balances.
- Ensure compliance with company accounting policies, procedures, and applicable accounting standards.
- Perform other accounting and reconciliation duties as assigned by management.
Required Qualifications
- B.Sc. / HND in Accounting, Finance, Economics, or a related field.
- ICAN qualification or ATS certification is required.
- 5 -10 years of relevant experience in accounting, reconciliation, audit, or financial operations.
- Strong knowledge of accounting principles and financial reporting.
- Proficiency in Microsoft Excel and accounting/ERP software.
- Experience handling high-volume financial transactions and reconciliations.
- Strong analytical and problem-solving skills.
- High level of accuracy and attention to detail.
- Good communication and follow-up skills.
- Ability to work independently and meet strict deadlines.
- Experience in the downstream oil and gas industry will be an added advantage.
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