mid- and month-end. Prepare balance sheet recons. Assist with annual financial statements/notes for Group returns timeously. Complete taxation supplementary packs when/if required. Complete Income Tax returns for for Group companies. Complete monthly cashflow packs for Group. Prepare/load creditor payments at month-end/when required. Prepare cash flow analysis and projections. Assist with audit year-end requirements. Prepare company
SAP and relevant systems. Assist with budget and forecast preparation. Assist with internal and external