reporting Financial statements Analysis Budgeting Income Tax and VAT calculations and returns Cashflow forecasting
Responsibilities: Prepare balance sheet reports Generate income statements Compile financial packs Facilitate the
financial reports. Must understand how one assembles an income statement and balance sheet from a trial balance
your job. You can enhance your career by taking on extra tasks and seizing opportunities to advance in your
your job. You can enhance your career by taking on extra tasks and seizing opportunities to advance in your
Special Requirements Must be available to work extra hours where necessary; and Full confidentiality
Special Requirements Must be available to work extra hours where necessary; and Full confidentiality
workbook, and checking Letter of Credits etc.), incoming cash flow forecast, critical supplier reconciliations required documentation (if any) to banks, to confirm incoming funds is released (UCR Number). Process all receipts
of annual financial statements, balance sheets, income statements, profit and loss statements, cash flow
of annual financial statements, balance sheets, income statements, profit and loss statements, and cash