
1001 - 5000 employees
💳 Fintech
🏦 Banking
Fintech • Banking • Payments
Moniepoint Inc. is Africa's all-in-one financial ecosystem that provides seamless solutions in payments, banking, credit, and business management for over 10 million businesses and individuals. Operating as Nigeria's largest merchant acquirer, Moniepoint powers the majority of Point of Sale (POS) transactions in the country. The company processes $17 billion monthly while ensuring profitable operations. With operations starting in 2019, Moniepoint continues to support businesses through its comprehensive financial services platform, making significant strides in financial inclusion across emerging markets.
🕒 July 9
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1001 - 5000 employees
💳 Fintech
🏦 Banking
Fintech • Banking • Payments
Moniepoint Inc. is Africa's all-in-one financial ecosystem that provides seamless solutions in payments, banking, credit, and business management for over 10 million businesses and individuals. Operating as Nigeria's largest merchant acquirer, Moniepoint powers the majority of Point of Sale (POS) transactions in the country. The company processes $17 billion monthly while ensuring profitable operations. With operations starting in 2019, Moniepoint continues to support businesses through its comprehensive financial services platform, making significant strides in financial inclusion across emerging markets.
• Act as the standing technical accounting partner to Product and Engineering for all new products, features, and pricing changes • Write technical accounting memos and position papers for new or changed products (revenue recognition under IFRS 15, financial instrument classification under IFRS 9, fee vs. interest income treatment, etc.) • Design, build, and maintain the chart of accounts for new and existing products, ensuring consistency across entities • Map each stage of the customer journey (onboarding, transaction, settlement, fee, reversal, write-off) to the correct GL treatment, end to end • Review product and engineering specs pre-launch to flag accounting and control gaps before they reach production • Own the reconciliation between product/transaction system data and the general ledger, and resolve breaks at source • Design controls around new product flows (maker-checker, reconciliation, exception handling) and document them to audit standard • Maintain a living library of accounting treatment documentation per product, kept current as products evolve • Partner with Financial Control, Internal Audit, and external auditors on product-related technical accounting queries
• ACA / ACCA (or equivalent) with 8+ years post-qualification experience, including Big 4 technical accounting or audit background • Strong working knowledge of IFRS 15 (revenue), IFRS 9 (financial instruments), and IFRS more broadly • Experience translating a product or system design into accounting treatment and GL structure, not just reviewing after the fact • Comfortable reading product specs and talking directly to engineers and product managers, not only to finance colleagues
• Health insurance • Retirement plans • Paid time off • Flexible work arrangements • Professional development
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