assig n me n t s, in li n e w i t h t h e W es t c on South A f ri c a Li n e o f B u s i n ess m a nd a t e . T h i s w o u ld i n c l u d e V e n d or a n d Reseller P a r t n er f oc u s e d ma r k eti n d b r a nd i n g s t ra t egi e s , p la n s, p r o grams a n d c am p ai g n s li n k ed Westcon specific u me s r e s p o n s i b i li ty f or e x e c u t in g a ss i g n e d B u s in e ss P r a c ti s e s a e nd o r s ma r k e t i n g s t r a te gy , pl a n s, pr o g r am s a n d c a m p a i g n s. Conceptualises
Accounting or a similar field.
mz ITR14's, ITR12's, IT12El and IRP6 provisional tax returns. Calculation of PAYE. EMP501's and IRP5
Responsibilities: ITR14's, ITR12's, IT12El and IRP6 provisional tax returns. Calculation of PAYE. EMP501's and IRP5
do the Full Accounting (Management Accounts- I/S and B/S) for 2 local and 3 Foreign Countries. The Company
involves meetings and negotiation with CEO’s, FM’s IT Managers.
clerks in training • Complete and submit the EMP201's • Load all EMP payments • Assisting trainees with Complete and submit EMP501's end May and October • Check and submit EMP501's end of May and October, completed clerks in training • Complete and submit the EMP201's • Load all EMP payments • Assisting trainees with Complete and submit EMP501's end May and October • Check and submit EMP501's end of May and October, completed clerks in training • Complete and submit the EMP201's • Load all EMP payments • Assisting trainees with
as uploading quotations prior to Financial Advisor/s meeting with the client; Ensuring that all portfolio's portfolio's are prepared one week prior to the Advisor/s meeting with the clients; Checking the diaries and appointments for quality control prior to Advisor/s meeting with the client; In house servicing – Upgrades complex queries that may be received by the Advisor/s and the Financial Planning Practice; Interact with diligently and fairly; Striving to assist the broker/s in achieving and exceeding sales targets; Contacting
as uploading quotations prior to Financial Advisor/s meeting with the client; Ensuring that all portfolio's portfolio's are prepared one week prior to the Advisor/s meeting with the clients; Checking the diaries and appointments for quality control prior to Advisor/s meeting with the client; In house servicing – Upgrades complex queries that may be received by the Advisor/s and the Financial Planning Practice; Interact with diligently and fairly; Striving to assist the broker/s in achieving and exceeding sales targets; Contacting
bank statements Ensure Bank GL's Balance to MT940's [Kyriba] Upload new Vendors into Banking platforms bank statements Ensure Bank GL's Balance to MT940's [Kyriba] Daily rates, Forward points - Ensure receipt DAILY REPORTING Ensure Bank GL's Balance to MT940's [Kyriba] Submission and reconciliation of daily reports PACI deliverables Administrate on a banking platform/s Any other duty Treasury related that maybe ad-hocly MONTHLY REPORTING Ensure Bank GL's Balance to MT940's [Kyriba] REPORTING REQUIREMENTS Complete all required