l Reconciliations
reconciliations. Cashbook processing and reconciliations Fixed Asset register processing and maintenance Submission
reconciliations
management reposrts, maintaining records, maintaining fixed asset register, liaising with external consultants
preparation entry & review Monthly recons Fixed assets Trial balances Assist with audits Petty cash
reconciliations of the firm, while ensuring that fixed assets are updated and calculating depreciation. Additionally
Expense claims processing Cashflow projections. Fixed asset register processing and maintenance. VAT, PAYE
with the Financial Manager.
statements, Compile monthly audit file, Manage fixed asset register, Statutory compliance, Lease negotiations
Afrikaans. Duties: All Reconciliations Invoicing Fixed Asset Register Management Accounts Stock VAT and Tax