processing of financial transactions (payments, journals, bank reconciliations, receipts) and statutory returns Availability of staff • Motivated and skilled team • Compliance with HR policies and procedures 2. Budgeting: of calculations • Assumptions to be verified • Compliance to financial policies and procedures 3. Financial Complete, accurate and timeous management accounts • Compliance to financial policies and procedures 4. General recorded accurately and in compliance with relevant regulations and accounting standards • Check and verify all
/ Management Statements - Processing of Bank statements - Bank reconciliations - General Ledger reconciliations
Journals, GRN's etc. Assist with Creditors Petty Cash Banking Cash book processing Debtor information and queries manual and EFT cheque advices, reconcile payments on bank statements Inter department communications and follow
Management Account and Bookkeeping upto Trial Balance. Bank Recon Debtors and Creditors Inventory Ledger account
Desired experience: Recent Trial balance experience. Bank recons. Ledger accounts. VAT Debtors and Creditors
entities (± 1000 employees) Ensure compliance with required standards and deadlines Reconciliation of General statutory returns All third-party payments Ensure compliance with company policies and procedures Updates
entities (± 1000 employees) Ensure compliance with required standards and deadlines Reconciliation of General statutory returns All third-party payments Ensure compliance with company policies and procedures Updates
entities (± 1000 employees) Ensure compliance with required standards and deadlines Reconciliation of General statutory returns All third-party payments Ensure compliance with company policies and procedures Updates
entities (± 1000 employees) Ensure compliance with required standards and deadlines Reconciliation of General statutory returns All third-party payments Ensure compliance with company policies and procedures Updates
of monthly tax compliance returns i.e. VAT, and PAYE; Completion of annual tax compliance returns on behalf statements in line with applicable accounting standards; Assist managers with various client matters,