income statement reconciliations Maintain fixed asset register and shareholder loan schedules Conduct
statement reconciliations Maintaining of fixed asset register and shareholder loan schedules Perform
reconciliations. Cashbook reconciliations. Fixed asset checks, recharges and VAT on foreign countries.
reconciliations. Cashbook reconciliations. Fixed asset checks, recharges and VAT on foreign countries.
balances Process monthly journals Manage the Fixed Asset registers Prepare Balance Sheet reconciliations
balances Process monthly journals Manage the Fixed Asset registers Prepare Balance Sheet reconciliations
and brokers Handle SARS submissions and audits Coordinate fund valuations and compliance Prepare management
and brokers Handle SARS submissions and audits Coordinate fund valuations and compliance Prepare management
formulation of budgetary and accounting policies Coordinate physical inventory counts and cycle counts Update
formulation of budgetary and accounting policies Coordinate physical inventory counts and cycle counts Update