timely and accurate submissions. Stay updated on tax laws and regulations to minimise tax liabilities. Collaborate payment and journal review processes. Banking and Treasury: Manage banking relationships and optimise treasury minimizing risks. Continuously seek ways to improve banking and treasury operations. Team Management: Lead Strong understanding of financial regulations, tax laws, and compliance requirements. Excellent analytical
Standards. Auditing practises and principles. Applicable laws, codes and regulations. Valid driver's license. general ledger and subsidiary accounts. Completes bank reconciliation and cashbook entries. Analyses performance
Revenue Services.
operations are conducted in strict accordance with bank guidelines, maintaining the highest standards of Examination, Financial Forensics, Fraud Investigation, Law, Criminology, or a related field
Poswa Incorporated, a corporate and commercial law firm, is looking for a dynamic, professional and pro-active Perform General Ledger reconciliations (including bank, suspense and inter-departmental account; Consolidate cash, creditors, debtors, filing of invoices and bank statements, maintain asset register Relevant diploma
authorities, ensuring compliance with all relevant laws and standards. Lead and develop a high-performing strategic objectives. Ensure compliance with relevant laws, regulations, and industry standards. Identify and and ensure compliance with relevant laws, including Reserve Bank and Customs and Excise requirements
payroll in a timely manner. Prepare invoices, handle bank deposits, and manage collections. Reconciliation: monthly, quarterly, and annual reconciliations of bank accounts. Reconcile discrepancies by collecting Keep informed about changes in tax and deduction laws that apply to the organization. Auditing: Prepare
Management and reconciliation of the bank and cash accounts, preparation of the weekly cash relationships with the different stakeholders such as banks, lenders etc
Recruit and manage
Ensure compliance with statutory law and financial regulations in all operating countries
through auditing. Management and reconciliation of the bank and cash accounts, preparation of the weekly cash relationships with the different stakeholders such as banks, lenders etc Recruit and manage Finance/Administration financial performance. Ensure compliance with statutory law and financial regulations in all operating countries