high-quality financial accounting services and manage all financial transactions from fixed payments, variable Manage all accounting transactions Prepare budget forecasts. Publish financial statements on time. Handle Reconcile accounts payable and receivable. Ensure timely bank payments. Compute taxes and prepare tax returns
Responsibilities Develop and maintain timely and accurate financial statements Ensure that all statutory requirements requirements (PAYE, VAT and Annual tax) Prepare all supporting information for the annual financial audit audit and liaise with the External Auditors. Prepare all supporting information for the annual BEE Verification Maintain complete and accurate information for all financial transactions Develop and maintain financial the management of all leases, contracts and other financial commitments Monitor all legislation relevant
Non-Profit Company that serves as the custodian of all professional and amateur cricket activities within accounts payable and receivable transactions in a timely manner. Reconcile cash book and bank statements reconcile supplier invoices, ensuring accuracy and timely manner. Handle supplier queries and discrepancies
Accounting Science Currently Registered for CTA/ CTA Part 1 (Favourable)