area, is seeking to employ a Financial Manager. Reporting to the CFO, the Financial Manager is primarily statements and reports to guide decision-making. Responsibilities include: Monthly reporting done accurately accurately and timeously All statutory reporting and submission done Payments reviewed for processing and release Ensuring Company FICA compliancy – processes, reporting and audits. Requirements include: Bachelor's Degree
and the UK, is seeking to employ an Accountant. Reporting to the Finance Director, the candidate will be timely provision of high-quality accounting, reporting and administration which support both external Remain abreast of changes in tax and financial reporting legislation and statutory requirements Prepare statutory business accounts Prepare ad hoc financial reports and statements as requested by Directors Complete team on monthly basis Contribute to the Finance report for quarterly board meetings Guide, support and
of meeting goals Reporting: Daily reporting - Quality,Completeness Monthly reporting - Quality, Completeness in the correct way. Reporting - Daily milling reporting. Ensure correct reporting Training- Ensure all and being used in the correct way. Reporting-Daily packaging reporting Training-Ensure all packaging staff and being used in the correct way. Reporting-Daily mixing reporting Training-Ensure all mixing staff are
will be responsible for the reconciliation and reporting of the Cashbook, Creditors Balances, Cashflow Assisting with cashflow Financial reporting, as well as ad-hoc reporting Assisting with preparation of annual
handle data entry, spreadsheets, and financial reporting Communicate effectively in English and Afrikaans to ensure financial compliance and accuracy in reporting ONLY CANDIDATES WHO CURRENTLY RESIDE IN CLOSE
handle data entry, spreadsheets, and financial reporting Communicate effectively in English and Afrikaans to ensure financial compliance and accuracy in reporting ONLY CANDIDATES WHO CURRENTLY RESIDE IN CLOSE
on drivers and report back to clients. Follow up on operational issues and reporting. Compile and send
receivable Compute taxes and prepare tax returns Report on the company's financial health and liquidity balance sheet, profit and loss statement, and other reports Substantiate financial transactions by auditing
of client service is delivered at all times and report directly to the Private Client and Trust Manager applicable Pension and Trust legislation and statutory reporting requirements. Experience of administrating pension Ability to provide assistance with regulatory reporting. Ability to correspond with relevant tax offices
customer/management reports Demonstrate regular attendance and timeliness in reporting to work, meetings