interpret finance reports and statistical data. Investigate and action financial variances (budget/forecast) reports and balance sheet account reconciliation. Investigate and action balance sheet account variances. Prepare action variances. Audits and Financial Period-End Processes: Prepare year-end statutory audit (external and and internal) in line with the consolidates audit plan. Prepare ledger balance and an initial balance including accounting and tax packs. Follow up and action audit finding. Creditors, Banking & Cash management:
Analyse and capture closing stock for all stores, investigate discrepancies and update tracker reports. Process management, exec and board reports. Assist with external audit requirements and authorise EFT payements. Oversee
experience working in the tax department of an auditing firm or law firm. Excellent understanding of Tax
e-Filing. Liaise with SARS on verifications and audit. Complete month end procedures. Process up to Trial