financial statements, including balance sheets, income statements, and cash flow statements, to provide compliance with tax regulations, including sales tax, income tax, and other applicable taxes, by preparing accurate
reconciliations of balance sheet general ledger accounts and income statement analysis.
Prepare journals for monthly
Responsibities:
reviews of balance sheet reconciliations and analyze income statements.
preparation of management accounts •Salaries, income tax, UIF •Accounts Reconciliation Responsibilities
preparation of management accounts •Salaries, income tax, UIF •Accounts Reconciliation Responsibilities
daily as per call cycle.
Handle incoming sales or general calls.
Provide
preparation of management accounts •Salaries, income tax, UIF •Accounts Reconciliation Responsibilities
function for each of them. You will produce a full income statement and prepare balance sheet reconciliations
Undertake group and regulatory reporting Managing income tax, VAT, and PAYE matters in accordance with legal