Conducting reconciliations of financial accounts Assisting in the preparation of financial statements and
dates) Monitoring and updating audit checklist and assisting with scheduling audit dates Monitoring and updating
Attend appointment with broker to offer products, assist with queries and give specialist insights and advice
departmental objectives and workflows, with the assistance of the Senior Bookkeeper: Ensuring all Management
analysis • Cash Book • Bank Reconciliations • Assisting with Adhoc functions delegated by Management Accountant
current with payment technologies and innovations. Assist with queries from the Support team. Minimum 3 years
Attend appointment with broker to offer products, assist with queries and give specialist insights and advice
Attend appointment with broker to offer products, assist with queries and give specialist insights and advice
Dealing with foreign tax authorities Providing assistance regarding Merger and Acquisition transactions
culture Regulatory reporting (FICA, FAIS etc.) Assisting the business with any compliance training as required