management reports for all subsidiaries. Maintaining monthly compliance in all tax aspects for the main IT submissions) Review the monthly payroll for all stores. Review the journals, reconciliations and
management reports for all subsidiaries. Maintaining monthly compliance in all tax aspects for the main IT submissions) Review the monthly payroll for all stores. Review the journals, reconciliations and
for ongoing CIS related tax matters Preparation of all funds for audit within the required deadlines Liaising working closely with external auditors to ensure that all reporting deadlines are met Preparation of annual Assist with audit pack completion Assess and enhance all related internal controls within the control environment
companiesaccording to IFRS or IFRS for SME framework Attend to all related administration and Tax requirements Registered
requires a Group FD to - plan, manage & strategize all aspects of their finance function. Required Qualifications – plan, implement, conform & mitigate as per all statutory requirements – financial & other. Taxation
requires a Group FD to - plan, manage & strategize all aspects of their finance function. Required Qualifications – plan, implement, conform & mitigate as per all statutory requirements – financial & other. Taxation
reconciliations including proper investigation of all outstanding issues to ensure a timely resolution auditors and clients to ensure a timely resolution of all queries. Where applicable to communicate and escalate
please share your CV with me. Provide support for all financial activities, including budgeting, forecasting Register your CV to create a profile and to view all our Financial recruitment vacancies. Let us assist
are professional and caring in its dealings with all its stakeholders. GENERAL JOB INFORMATION: The incumbent the management of all leases, contracts, and other financial commitments - ensuring all agreements are formulated returns for large companies within group, - Review all responses on tax queries, VAT returns, EMP returns;
and relate with clients and different advisers of all levels Responsibilities: Understand products and statements and tax information as required. Validate all types of instructions processed in the platform system oversee for accuracy. Monitor all active cases daily and confirm and communicate all processed instructions