reconciliations Assisting with cashflow Financial reporting, as well as ad-hoc reporting Assisting with preparation
well as cost benefits, building solutions and assisting clients to identify the best solutions to their
well as cost benefits, building solutions and assisting clients to identify the best solutions to their
Monthly journal entries. VAT reconciliations (assistance with income tax and provisional tax submissions)
willing to go the extra mile. Client engagement. Assist the Senior Manager in training the trainees Planning
respond to billing queries. Ability to provide assistance with regulatory reporting. Ability to correspond
decision-making processes. Change Management : Assist in change management efforts by providing documentation