clients in Afrikaans and English etc.) -Travelling to Courts / Clients / Hospitals etc. when required Salary:
Monthly Management accounts Daily Cash Flows Reporting and on accurate and complete financials Ensuring of audit Forecast and budget reporting Key expense tracking and reporting Experience & Qualification:
accounts payable, accounts receivable and financial reporting of Group Companies To manage and mitigate financial business’s standards Reporting and Information Management Manage Financial Reporting Financial Compliance
their team. Duties: Processing customer experience reports online Picking out facts that are questionable improve their quality of reporting Adhering to in-house style guidelines Editing reports for spelling, grammar Microsoft Office programs and able to learn in-house report processing system quickly Please note: CV’s with position and you will be required to engage with the reports you are processing. There is a spelling error in
provide relevant comments. Prepare special financial reports and financial statements such as the profit and creditor lists, repayment schedules, regulatory reports and any other filing. Collect, verify, and analyze credit terms with the external parties, prepare the reports on the credit status and conditions for review negotiated terms are met Maintain debtors age-analysis report with focus on significant figures Minimum Requirements
financial performance, and distribute financial reports and be involved in fixed asset capex maintenance deadlines, Duties: Monthly financial and management reporting. Meet specific month-end deadlines promptly. Capture financial performance and distribute financial reports. Prepare balance sheet reconciliations. Fixed Asset Prepare commission payable and commission provision reports. Maintain internal control and compliance with
Premier would be an advantage. This position will report to the HR Manager and the duties will include (but Capturing of flexi-time and creating of flexi-time reports, Booking of staff training and capturing thereof
of VAT201 returns. This includes preparing the reports necessary to communicate the VAT due to relevant supporting documents monthly. Generate management reports for review by Accounting Manager. Preparation of juristic entities. This role has no direct reports. This role reports to the Accounting Manager. Understand
of VAT201 returns. This includes preparing the reports necessary to communicate the VAT due to relevant supporting documents monthly. Generate management reports for review by Accounting Manager. Preparation of juristic entities. This role has no direct reports. This role reports to the Accounting Manager. Understand
maintaining accurate financial records, preparing reports, and ensuring compliance with relevant financial Financial Reporting: Assist in the preparation of financial statements. Generate financial reports such as sheets, profit and loss statements, and other reports as required by management. Compliance: Ensure compliance