branches Reconciliation of all closed services per month invoiced. Follow up on outstanding accounts Create costings accurate and complete for the month Cost of Sales report (monthly) Assist with insurance Claims Trade daily hours worked by all employees, complete monthly and weekly schedules Checking of working hours issuing of payslips Manage transport invoices at month end Ensure administration for health and safety
branches Reconciliation of all closed services per month invoiced. Follow up on outstanding accounts Create costings accurate and complete for the month Cost of Sales report (monthly) Assist with insurance Claims Trade daily hours worked by all employees, complete monthly and weekly schedules Checking of working hours issuing of payslips Manage transport invoices at month end Ensure administration for health and safety
and providing reasons with monthly management reports Compilation of monthly management reports for all Maintain monthly compliance in all tax aspects (EMP, VAT, IT submissions) Review the monthly payroll for compiled by the junior financial accountant. Review monthly and weekly payments to suppliers. Manage and liaise the yearly budget. Monthly preparation and submission of VAT. Raise accruals monthly. Recommend methods
and providing reasons with monthly management reports Compilation of monthly management reports for all Maintain monthly compliance in all tax aspects (EMP, VAT, IT submissions) Review the monthly payroll for compiled by the junior financial accountant. Review monthly and weekly payments to suppliers. Manage and liaise the yearly budget. Monthly preparation and submission of VAT. Raise accruals monthly. Recommend methods
accruals Monthly reconciliations: banks, customers, suppliers, loans, assets, tax Processing Month end and quarterly foreign currency revaluations Assist in monthly compliance returns (VAT and WHT) Assistance on
accruals Monthly reconciliations: banks, customers, suppliers, loans, assets, tax Processing Month end and quarterly foreign currency revaluations Assist in monthly compliance returns (VAT and WHT) Assistance on
Payment of creditors for two practices Daily and monthly Bank Reconciliations Recording of transaction in suppliers Ensuring stock levels are checked weekly and monthly Ordering optical lenses, optical frames, optical
Payment of creditors for two practices Daily and monthly Bank Reconciliations Recording of transaction in suppliers Ensuring stock levels are checked weekly and monthly Ordering optical lenses, optical frames, optical
requests for legal and compliance Salary: Negotiable as per experience Join us on SOCIAL MEDIA or visit our WEBSITE
requests for legal and compliance Salary: Negotiable as per experience Join us on SOCIAL MEDIA or visit our WEBSITE