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  • Posted: Aug 27, 2025
    Deadline: Not specified
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  • Rainoil Limited is a leading downstream oil marketing company; primary products which include (PMS), Diesel (AGO) and Kerosene (DPK). Rainoil Limited was incorporated in November 1994, commencing operations in May 1997. In 1999, Rainoil Limited acquired its first service station. Rainoil’s operations currently span across the downstream value chain ...
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    Account Officer

    • Handles all aspects of assigned bookkeeping activities such as reconciliations, journals and nominal ledger administration by updating the accounting application with transactions as they occur
    • Executes measures to ensure that the company’s receivables are effectively monitored and are kept to the minimum
    • Processes cash book transactions and prepares bank reconciliation
    • Documents and updates records of all fixed assets to ensure assets are properly valued, accounted for and safeguarded
    • Computes direct expenses as well as proper booking of all expenses
    • Monitors of Rainoil’s budget by performance evaluation and analysis of variances
    • Manages invoices with respect to truck activities
    • Prepares of the year end performance report showing the closing balances for assets, liabilities, cash and stock.
    • Prepares periodic accounts as well as the group’s statement of financial position at the end of the financial year.

    Requirements

    • Minimum of Bachelor’s Degree/HND in Finance/ Accounting or any related discipline
    • Relevant professional certification e.g. Chartered Accountants of Nigeria (ICAN),Association of Certified and Chartered Accountants (ACCA) is an advantage
    • Minimum of 5 years' work experience in the Finance/ Treasury/ Accounts function in a similar organization.

    Responsibility

    • Handles all aspects of assigned bookkeeping activities such as reconciliations, journals and nominal ledger administration by updating the accounting application with transactions as they occur
    • Executes measures to ensure that the company’s receivables are effectively monitored and are kept to the minimum
    • Processes cash book transactions and prepares bank reconciliation
    • Documents and updates records of all fixed assets to ensure assets are properly valued, accounted for and safeguarded
    • Computes direct expenses as well as proper booking of all expenses
    • Monitors of Rainoil’s budget by performance evaluation and analysis of variances
    • Manages invoices with respect to truck activities
    • Prepares of the year end performance report showing the closing balances for assets, liabilities, cash and stock.
    • Prepares periodic accounts as well as the group’s statement of financial position at the end of the financial year.

    go to method of application »

    Real Estate Executive / Facility Supervisor (Non-Fuel Revenue Executive)

    To develop and implement strategies to optimize non-fuel revenue streams, focusing on diversification and profitability. This role requires a strong background in business development, financial analysis, and relationship management.

    Requirements

    • Minimum of Three (3) Years Non-Fuel Revenue Executive preferably in similar organization.
    • Qualification: B.Sc/HND in Social Science or related courses.

    go to method of application »

    Trading Executive

    To manage vessel chartering, ship-to-ship transfers, bunkering, offloading products, product quality, proper documentation and record keeping.

    Requirements

    • Minimum of bachelor’s degree in Accounting, Finance, Management, Engineering or related discipline is required. 
    • Minimum of 0-2 years’ relevant experience in Trading & Marine sector in the Oil and Gas industry.

    Responsibility

    • Acts promptly to ensure availability of vessels for product delivery.
    • Monitors timelines and process relating to receipt and offloading to ship cargo to avoid or minimize incidences of demurrage.
    • Supports a proactive safety conscious environment line with company’s health and safety policy by involvement in implementation.
    • Confirms vessel availability for hiring in line with the requesting party’s request.
    • Prepares vessel allocation schedule.
    • Liaises with the finance department to obtain funds/secure bank loans for product importation.
    • Maintains good relationships with shipping lines for better bargains/services.
    • Facilitates the operations for off-loading and product shortage logistics as well as ship to ship transfer.
    • Documentation/record keeping of shipping transactions, and apt delivery to relevant authorities.
    • Obtain the loading order and forwards the voyage details to the vessel captain via e-mail.
    • Receiving cast-off reports from vessel captain and forwards it to the port’s operations manager.
    • Monitors the vessel voyage status to determine the location coordinates of the vessel through the fleet management module.
    • Prepares progress reports on the monitoring of the various vessels stating their current positions against the plan, off-track distance, estimated time of arrival, issues identified as well as recommendations.
    • Prepares post-operations reports for review by the Trading Manager.
    • Interface with government agencies, NPA, customs, NIMASA, DPR e.t.c to meet regulatory requirements.

    Method of Application

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