involves managing controls and documentation for income and expenditure, as well as aiding in the preparation supporting schedules for tax returns (VAT, PAYG, PAYE, Income Tax). Compliance - Liaise with both the Internal
reports within set company deadlines Answering of incoming calls and attending to queries Personal assistant
reports within set company deadlines Answering of incoming calls and attending to queries Personal assistant
Payment arrangements within policy Straight line income reconciliation Suppliers – Processing and reconciliation
Payment arrangements within policy Straight line income reconciliation Suppliers – Processing and reconciliation
Payment arrangements within policy Straight line income reconciliation Suppliers – Processing and reconciliation
company's monthly financial statements (Cash flow, income statement, Balance sheets). Manage payroll and
Payment arrangements within policy Straight line income reconciliation Suppliers – Processing and reconciliation
on variances Perform month end balance sheet and income statement reconciliations Maintaining of fixed
production and the goals of the business. Ensure that incoming goods are receipted and managed appropriately