Job description
Job title : Officer, Finance
Job Location : Abuja Deadline : October 08, 2026 Quick Recommended Links
Purpose
- The Officer, Finance will support the effective financial management of Evidence Action’s programmes and operations by ensuring timely and accurate financial transactions, reconciliations, budget monitoring, and financial reporting.
- The role will provide day-to-day finance support to programme and management teams, maintain accurate financial records, and contribute to compliance with organisational policies, donor requirements, and applicable statutory regulations.
- The Officer will also support the strengthening of financial controls and processes to promote accountability, efficiency, and effective use of organisational resources.
Duties and responsibilities
Financial Management & Transaction Processing:
- Support the timely processing of payments, invoices, staff advances, and expense claims in line with approved policies and procedures.
- Review supporting documentation for completeness, accuracy, appropriate approvals, and compliance before transactions are processed.
- Assist with accounting entries, expense coding, and posting of transactions into the organisation’s accounting system.
- Support monthly bank, cash, staff advance, and other relevant reconciliations, and follow up on outstanding items.
- Assist with the preparation of financial schedules and information required for management reporting, audits, and donor reporting.
Budget Monitoring & Programme Support:
- Support programme teams in monitoring expenditure against approved budgets and identifying variances.
- Track programme-related commitments and expenditures, and escalate potential budget overruns or other financial concerns to the supervisor.
- Assist with the preparation of expenditure summaries and budget updates for programme and management review.
- Provide finance support for workshops, trainings, field activities, and other programme events.
Procurement & Vendor Financial Management:
- Support the processing of purchase orders, vendor invoices, and vendor payments in line with approved procedures.
- Review procurement and payment documentation for completeness, accuracy, and appropriate approvals.
- Maintain accurate vendor records and support the follow-up of vendor payment queries and outstanding balances.
- Assist with the preparation of vendor reconciliations and follow up on discrepancies as directed.
- Ensure procurement and payment documentation is properly filed and readily available for audit and compliance reviews.
Financial Reporting & Reconciliations:
- Assist with the preparation of monthly expense and financial reports for management and programme teams.
- Assist with preparing monthly bank reconciliations and following up on reconciling items in the books of accounts.
- Support the preparation of monthly and quarterly vendor reconciliations and follow up on outstanding balances and discrepancies.
- Assist with compiling financial data and expenditure summaries to support management decision-making and programme implementation.
- Support the preparation of financial schedules and information required for internal and external reporting, audits, and donor requirements.
Compliance, Controls & Audit Support:
- Support compliance with organisational policies, donor requirements, applicable statutory regulations, and internal controls.
- Assist with the preparation of documentation for internal and external audits and respond to audit queries as assigned.
- Support the preparation and maintenance of applicable tax and withholding tax documentation and remittance records.
- Escalate documentation gaps, discrepancies, and other compliance concerns to the supervisor.
- Assist with implementing improvements to financial processes and controls as directed.
Financial Documentation & Records Management:
- Maintain accurate and complete finance records in accordance with the organisation’s document retention requirements.
- Ensure supporting documents are properly organised and uploaded to relevant systems.
- Maintain trackers for payments, advances, procurement, vendor reconciliations, and other financial activities.
- Support the timely updating of financial records to ensure information is accurate and readily available.
Key Performance Indicators
- Timely transaction processing: At least 95% of assigned financial transactions processed within 48 hours, subject to complete documentation and approvals.
- Transaction accuracy: At least 98% accuracy in transaction coding, posting, and processing, with identified errors corrected promptly.
- Financial records and documentation: 100% of assigned financial records and supporting documents maintained accurately and in an audit-ready manner.
- Reconciliations and budget monitoring: 100% of assigned monthly and quarterly reconciliations and budget-monitoring updates completed within agreed deadlines.
- Compliance and escalation: 100% of assigned activities completed in line with finance policies and internal controls, with discrepancies and compliance concerns escalated within 24 hours of identification.
Requirements
- Bachelor’s Degree or HND in Accounting, Finance, or a related field.
- ACA, ACCA, CNA, or another relevant professional accounting qualification is an added advantage.
- 1–2 years of relevant experience in accounting or finance support, preferably within an NGO or other structured organisation.
- Basic knowledge of financial accounting, transaction processing, reconciliations, budget monitoring, and financial documentation.
- Proficiency in Microsoft Excel and other financial or accounting systems.
- Strong attention to detail, numerical accuracy, organisation, and follow-through.
- Ability to work under supervision, meet deadlines, maintain confidentiality, and escalate discrepancies promptly.