based on financial statements generated by the audit and bookkeeping departments, · Complete Income Tax financial statements have been prepared for by the Audit and Bookkeeping Department · Attach all necessary · Ensuring finalisation of all verifications or audits · Follow-up on all payments and refunds due by/to
returns, performing VAT reconciliations and providing audit schedules when requested. · Performing monthly reconciliations
returns, performing VAT reconciliations and providing audit schedules when requested. · Performing monthly reconciliations