Provide routine management information on inventory levels, consumption, and costs Coordinate with Finance Prepare and review tax and vat returns, journal entries, and monthly audit files Assist with fixed assets
journals Review of the FAR Monthly review of bank statements and bank recons Oversee Year end stock take Review/design
and payments in the cashbook Prepare and reconcile bank statements Monitor and reconcile discrepancies in
Certifications: First Level Regulatory Examfor Representatives (RE5) First Level Regulatory Exam for Key
Certifications: First Level Regulatory Examfor Representatives (RE5) First Level Regulatory Exam for Key
priorities and deadlines Detail-oriented with a high level of accuracy in financial reporting and analysis
priorities and deadlines Detail-oriented with a high level of accuracy in financial reporting and analysis
close - Including trial balance-, general ledger-level, as well as transactional processing Responsible
tertiary qualification at no less than honours level, with a preference to CA(SA) qualified candidates
tertiary qualification at no less than honours level, with a preference to CA(SA) qualified candidates