point-of-sale month end reports, · Processing cashbooks and bank reconciliations · Processing salary journals · Prepare · Grade 12 · Certificate / Diploma / Degree in Finance preferred · Minimum 3 years experience, preferably
Assist in the supervision of the tax department staff · Assist tax manager and compliance officers with SARS-related documentation received, i.e., assessments and other SARS notifications · Assist and advise compliance SARS visits for updating of banking details and taxpayer particulars and other queries. · SARS appointments of Conduct. · Grade 12 with Accounting · Tax or other relevant qualification, · Registered Tax Practitioner
Assist in the supervision of the tax department staff · Assist tax manager and compliance officers with SARS-related documentation received, i.e., assessments and other SARS notifications · Assist and advise compliance SARS visits for updating of banking details and taxpayer particulars and other queries. · SARS appointments of Conduct. · Grade 12 with Accounting · Tax or other relevant qualification, · Registered Tax Practitioner
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of expenses, bad debts etc. · Distinguish between finance and operating leases. · Foreign exchange transactions
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of expenses, bad debts etc. · Distinguish between finance and operating leases. · Foreign exchange transactions
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of expenses, bad debts etc. · Distinguish between finance and operating leases. · Foreign exchange transactions
receipts, sales invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of expenses, bad debts etc. · Distinguish between finance and operating leases. · Foreign exchange transactions
ensure allocations are done correctly Reviewing bank reconciliations Monthly journals Submitting monthly review of monthly management accounts Performing other related duties, as assigned. Special projects Key
ensure allocations are done correctly Reviewing bank reconciliations Monthly journals Submitting monthly review of monthly management accounts Performing other related duties, as assigned. Special projects Key
warehouse staff on WMS configurations and stock reconciliations · Assist all departments and other onsite