for doing business analysis for the finance team Assist with project requirements Support the accounting
reconciliations of accounts receivable. Audit Support: Assisting with financial audits by preparing schedules, Preparation of monthly VAT reconciliations. Assisting the financial manager in preparation of monthly/yearly
ensuring their constant professional growth, and assisting them in the execution of their duties where necessary
reconciliations of accounts receivable. Audit Support: Assisting with financial audits by preparing schedules, Preparation of monthly VAT reconciliations. Assisting the financial manager in preparation of monthly/yearly
reconciliations of accounts receivable. Audit Support: Assisting with financial audits by preparing schedules, Preparation of monthly VAT reconciliations. Assisting the financial manager in preparation of monthly/yearly
VAT. Complete and submit clients' VAT returns. Assist with client queries. STT. Capture and submit STT when needed. Income Tax, PAYE, VAT registrations. Assist clients with various tax registrations. EMP501
monitoring of accounts related to true matches Assist with screening of third-party suppliers and affiliates
monitoring of accounts related to true matches Assist with screening of third-party suppliers and affiliates
ensuring full compliance with relevant regulations -Assist in financial reporting and analysis -Utilise accounting
calculations in order to submit returns on E-filing. Assist accountants with various client matters, including