VAT calculations & submissions Tax planning Journals & Reconciliations Control fund & assets
(Including but not limited to): Bank recons and monthly journals Managing, processing and reconciling cash transactions
(Including but not limited to): Bank recons and monthly journals Managing, processing and reconciling cash transactions
invoice all general expenses Stock adjustment / journal VAT Submission to Accountants PAYE Submission to
invoice all general expenses Stock adjustment / journal VAT Submission to Accountants PAYE Submission to
the monthly payroll for all stores. Review the journals, reconciliations and OPS management reports compiled
month Drafting and passing monthly Consolidation journals Review business tax schedules Manage Group external
the monthly payroll for all stores. Review the journals, reconciliations and OPS management reports compiled
assets, tax Processing Month end and year end journals Review of quarterly foreign currency revaluations
assets, tax Processing Month end and year end journals Review of quarterly foreign currency revaluations