processing. Journal adjustments. Loading online banking payments. Vat Returns and reconciliations. PAYE/UIF/SDL
the Sales Executives Submit applications to the banks Effectively manages the processing of finance applications
the Sales Executives Submit applications to the banks Effectively manages the processing of finance applications
expense reconciliations • Providing clients with Tax Cash Flow Planning (forecasting future Tax Payable and
Ensure pre-funding is allocated to AOS file. Ensure bank charges are recovered. Meet Principal's requirements
Ensure pre-funding is allocated to AOS file. Ensure bank charges are recovered. Meet Principal's requirements
feasibility studies. Monitoring expenditure. Monitoring cash flow. Evaluating investments. Overseeing audit and
practices are in line with IFRS and other relevant standards.
corrective action to ensure alignment and standardization within the division Process and review general
processed in accordance with applicable accounting standards Ensure correct rebate rates and calculations are