Dauda Ademola  MSc, FCCA ACA

Dauda Ademola MSc, FCCA ACA

Followers of Dauda Ademola  MSc, FCCA ACA1000 followers
location of Dauda Ademola  MSc, FCCA ACALagos, Lagos State, Nigeria

Connect with Dauda Ademola MSc, FCCA ACA to Send Message

Connect

Connect with Dauda Ademola MSc, FCCA ACA to Send Message

Connect
  • Timeline

  • About me

    Lead Finance Analyst (GE Power Services Nigeria and SSA)

  • Education

    • Association of Chartered Certified Accountants (ACCA)

      -
      Fellow
    • EUROPEAN-AMERICAN UNIVERSITY Commonwealth of Dominica

      -
      Bsc (Second class upper) Accounting
    • Institute of Chartered Accountant s of Nigeria (ICAN)

      -
      Member
    • Lagos State University

      -
      Bsc (second class Upper) Marketing
    • University of London

      -
      MSc in Professional Accountancy Accounting
  • Experience

    • GUARANTY TRUST BANK PLC

      Nov 2006 - Oct 2015

      Calling Over of batches and systems generated print outs to ensure completeness of entries. Daily reconciliation of transactions processed Identifying, reconciling and resolving unusual transactions Assisting Branches front line officers in resolving transactional issues and other Help Desk and Call center operations such as enquiries, authorization for discretional payments & other operational supports Collection and Processing of all forms of Federal, State and Local government taxes, revenue and public utility bills. Posting salary tickets and internal transfer transactions Preparation and posting of managers cheque, draft issued with minimal error Processing of NIP and NEFT transfers to other banks Adequate supervision of bulk tellers and safeguard the bank’s assets Ensure service quality control and compliance to regulatory requirements. Handling Transaction Repairs for branches (Transfer Process Reversals –Unpayments, verification of charge-backs, wrongful debits and Re-instatements) Processing of cash deposit and withdrawal Facilitation of training on the companys products and processes for exisitng staff in the unit and training of new employees on the job Driving operational excellence and world class standards. Show less Opening, closing and modification of accounts and maintaining accurate customers’ data base Allocation and issuance of cheque books ,withdrawal booklets and cards Providing internet banking services, mobile banking and transaction alert services Provide customer services; Off-cycle statement, handling of customer complains stop payment order, counter cheque issuance, status enquiry, reference letter issuance. Ensuring good interpersonal relationship with staff ,manage customers’ relationship and ensured improved profitability. Show less

      • TRANSACTION/INTERNAL CONTROL OFFICER

        Mar 2015 - Oct 2015
      • CUSTOMER INFORMATION SERVICES - OPERATIONS

        Feb 2012 - Mar 2015
      • TRANSACTION OFFICER

        Jun 2007 - Feb 2012
      • CUSTOMER INFORMATION SERVICES - FRONT DESK

        Nov 2006 - Jun 2007
    • CBA BUSINESS ACADEMY

      Feb 2012 - Sept 2015
      ACCA TUTOR

      Lead Lecturer of ACCA Paper F6 (UK Taxation)Lead lecturer of ACCA paper F2 (Management Accounting)

    • ADRAC PROFESSIONAL SERVICES

      Jul 2012 - Jun 2015
      ACCA/ICAN TUTOR

      Associate Lecture of Financial Accounting and Reporting (ACCA DipIFRS)Associate Lecturer of ACCA Paper F6 (UK Taxation)Associate Lecturer of ICAN Taxation and Advance TaxationLead lecturer of ACCA paper F2 (Management Accounting) Lead lecturer of ICAN management InformationLead lecturer of ICAN performance management

    • SYNERGY PROFESSIONALS

      Jan 2015 - Jun 2021
      ACCA TUTOR

      Lead Lecturer of ACCA Paper F6 and P6 (UK and Advance UK Taxation)Associate Lecturer of ICAN Taxation and Advance TaxationAssociate lecturer of ACCA paper F2 (Management Accounting)

    • Synergy Professionals/phellps hill consulting

      Nov 2015 - Dec 2015
      Accountant/Consultant

      Documenting financial transaction by entering accounting information. Preparing payments by verifying documentations and requesting disbursements. Reconciling financial discrepancies by collecting and analyzing account information. Assisting in setting up of accounts. Developing and Manages IFRS Conversion and training strategies for clients. Tax and Corporate advisory services

    • Devtage Consulting (Consultant to General Electric)

      Jan 2016 - Jan 2019
      Financial & Tax Analyst

      Analysing projects financial transactions in Nigeria and Sub Sahara Africa covering both Multi-Year Agreement and Transactional dealsAnalyzing business financials monthly and reporting on variancesPerforming quarterly Margin Review on all long-term project to determine profitability and productivityProviding support to cash team regarding cash collection and payment as well as working with the treasury team to manage the Foreign Exchange exposure of the businessTimely preparation and submission of monthly/quarterly management reports to HQ and the business unitsReviewing general ledger entries to ensure completeness and accuracy of business financials.Preparing account reconciliations in line with the corporate criteria for quality and driving quick resolution of any identified defects or failures.Engaging in strategic tax planning and Preparation of tax account reconciliation Ensuring tax dispute resolution and tax recovery Supporting tax team for the monthly filling of WHT and VAT returnsSupporting internal and external financial and tax audit.Assisting as a contact for the businesses, responding timely and accurately to queries/clarifications raisedEnsuring efficiency in the business processes through value analysis to eliminate non-value added activities Show less

    • GE Power

      Feb 2019 - Mar 2024
      Lead Finance Analyst

      • Leading project financial analysis for Aero and Upgrades portfolio in Nigeria and other Sub Saharan Africa countries excluding South Africa • Leading Multi-Year Agreement and Transactional deals business financials monthly analysis and proactively reporting variances • Leading quarter and year end closing and reporting activities for the region• Performing annual Margin Review for Aero portfolio’s Multi-year contract and quarterly Margin Review for complex upgrade portfolio’ contracts• Providing support to cash team regarding cashflow preparation, cash collection and payment as well as working with the treasury team to manage the Foreign Exchange exposure of the business• Reviewing prepared account reconciliations in line with the corporate criteria and providing necessary guidance in driving quick resolution of any identified defects or failures• working with operations team for preparation and submission of operating plan for the year• Reviewing general ledger and base cost entries and propose necessary adjustment entries when needed. • Setting up of standard process for finance operations• Providing leadership on internal and external statutory and tax audit• Timely preparation and submission of monthly/quarterly management reports to HQ Show less

    • GE Vernova

      Apr 2024 - now
      Lead Global Income Statement Analyst
  • Licenses & Certifications