balance. Monthly bank reconciliations. Monthly journal entries. VAT reconciliations (assistance with income
role. Preparation of VAT Returns Review and Reconciliation of VAT accounts. Assist with VAT audits and Prepare Vat reasonability calculations and reconciliation of annual vat balances. Provide VAT training
Responsibilities: Bank Reconciliation and Cash Flow Projections Monthly account reconciliations and payments Capturing
including debtors, creditors and cashbooks and reconciliations. Requirements include: Matric Fully Bilingual
Qualified CA(SA)s Duties: Preparing audit files Reconciliations (Balance sheet) Tax preparation Capturing journals
Accountant. Be responsible for accruals, stock reconciliations, creditors, debtors, balance sheet and management
prepare statements for international customers, reconciliations and weekly age analysis. Matric 10 years experience
Duties and Responsibilities: Preparation of Reconciliations Assisting with Creditors payments General finance
Duties and Responsibilities: Preparation of Reconciliations Assisting with Creditors payments General finance
month-end balance sheet and income statement reconciliations Maintain fixed asset register and shareholder shareholder loan schedules Conduct monthly VAT reconciliations and submit VAT201 submissions on time Optimize