reconciliations of accounts receivable. Audit Support: Assisting with financial audits by preparing schedules, Preparation of monthly VAT reconciliations. Assisting the financial manager in preparation of monthly/yearly
reconciliations of accounts receivable. Audit Support: Assisting with financial audits by preparing schedules, Preparation of monthly VAT reconciliations. Assisting the financial manager in preparation of monthly/yearly
PPA, DCUoSA and IA, regulatory Tax compliance, assist tax advisor in compiling and reviewing monthly