process. Reconcile sales taxes, payroll taxes, and bank accounts at the end of each month. Monitor financial reports for tax filings. Audit Support: Assist with internal and external audits by providing relevant financial schedules and provide requested information to auditors. Financial Analysis and Reporting: Provide regular
process. Reconcile sales taxes, payroll taxes, and bank accounts at the end of each month. Monitor financial reports for tax filings. Audit Support: Assist with internal and external audits by providing relevant financial schedules and provide requested information to auditors. Financial Analysis and Reporting: Provide regular
negotiation Drawing up finance contracts Signing up client bank contracts Selling of VAPS to increase second gross Drivers RE 5 NCA Card FETC Retail Insurance / Banking Qualification Class of Business Product Accreditation
negotiation Drawing up finance contracts Signing up client bank contracts Selling of VAPS to increase second gross Drivers RE 5 NCA Card FETC Retail Insurance / Banking Qualification Class of Business Product Accreditation
monthly paid staff Inter-company debit journals Bank EFT payments Answering of switchboard Administration
monthly paid staff Inter-company debit journals Bank EFT payments Answering of switchboard Administration
machine and receiving of cash
management, including reconciling cash drawers and bank deposits.
management, including reconciling cash drawers and bank deposits. Prepare financial reports, including sales