/ HR support (Calculations, reports, journal entries)
statement files.
financial statement files. Process and reconcile VAT entries. Submit VAT 201's, EMP 201, and EMP501 via e-Filing
etc. · Reconciling processed work by verifying entries and comparing system reports to balances · Maintaining
etc. · Reconciling processed work by verifying entries and comparing system reports to balances · Maintaining
Function: ➢ Month end revenue analysis and journal entries ➢ Month end revenue accruals and schedules ➢ Ensuring
and admin Month end revenue analysis and journal entries Month end revenue accruals and schedules Ensuring
legal agreements for tax implications/accounting entries required; Review accounting and tax implications
accurate cashflows. Preparing and posting of Journal entries. Ensuring that all Nominal Ledger / Trial Balance
legal agreements for tax implications/accounting entries required;