Prepare VAT calculations and VAT reconciliations, · Prepare bank reconciliations, · Grade 12 · BCom Accounting
system and payroll system. Ensuring that all reconciliations for the trial balance are performed timeously with preparations of departmental budgets and reconciliations. Preparing financial reports as required and
system and payroll system. Ensuring that all reconciliations for the trial balance are performed timeously with preparations of departmental budgets and reconciliations. Preparing financial reports as required and
handle the month-end functions of balance sheet reconciliations, VAT returns and inter company invoicing, lab general ledger and preparing the balance sheet reconciliations monthly to ensure allocations are done correctly correctly Reviewing bank reconciliations Monthly journals Submitting monthly VAT returns and audit schedules
handle the month-end functions of balance sheet reconciliations, VAT returns and inter company invoicing, lab general ledger and preparing the balance sheet reconciliations monthly to ensure allocations are done correctly correctly Reviewing bank reconciliations Monthly journals Submitting monthly VAT returns and audit schedules
statements of assets and liabilities, capital reconciliations and tax computations · Calculating third and
statements of assets and liabilities, capital reconciliations and tax computations · Calculating third and
warehouse staff on WMS configurations and stock reconciliations · Assist all departments and other onsite business
warehouse staff on WMS configurations and stock reconciliations · Assist all departments and other onsite business
invoices, purchase invoices · Perform bank reconciliations · Processing and reconciling of Petty Cash