Attention all tax compliance professionals Our client, based in Cape Town Claremont, is currently seeking responsible for ensuring the company's compliance with all tax-related obligations. If you possess a keen eye
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 OPS
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 OPS
business relationships with all Consulate officials Ensure compliance to all existing processes and meet Teams are mentored & work towards adherence of all SOP's/ processes, required to be complied with, from
salaries for the group of Companies Processing of all transactions up to trial balance, including invoicing of junior accounting and admin staff. Preparing all applicable income and balance sheet reconciliations monthly management accounts. Cash flow projections. All applicable statutory returns. Preparing annual income
salaries for the group of Companies Processing of all transactions up to trial balance, including invoicing of junior accounting and admin staff. Preparing all applicable income and balance sheet reconciliations monthly management accounts. Cash flow projections. All applicable statutory returns. Preparing annual income
Responsible for managing several entities Process all bank statements, supplier and journal entries up disbursements Full creditors functions – updating of all creditors contracts and renewals VAT reconciliation experience an advantage Proficiency in Excel and all Office software Fluent spoken and written English
Responsible for managing several entities Process all bank statements, supplier and journal entries up disbursements Full creditors functions – updating of all creditor's contracts and renewals VAT reconciliation experience an advantage Proficiency in Excel and all Office software Fluent spoken and written English
discrepancies and variances. Reconcile and sign off on all bank accounts monthly. Maintain general ledger chart monthly EMP201 for all Group companies. Calculate and reconcile the monthly VAT201 for all Group companies Complete annual corporate income tax return for all Group companies based on the audited corporate income calculation. Reconcile and submit the bi-annual EMP501 for all Group companies. Treasury Ensure adequate cashflow local currency payment run for all Group entities. Review and capture all new and amended beneficiary bank
demonstrating great attention to detail and accuracy in all tasks and deliverables