the client re: updates of personal particulars/banking details. Compile tax calculations and schedules deductions and asset & liability schedules Capital reconciliations Complete income tax returns on
VAT and PAYE tasks Conduct daily banking activities, including bank reconciliations Reconcile debtors’ books and Statements of Accounts Coordinate with banks to investigate and resolve reconciling items Ensure
balance. Processing journal entries and monthly bank reconciliations. Payroll of between 40-50 staff