accounting and processing up to trail balance. Monthly bank reconciliations. Monthly journal entries. VAT reconciliations
Vat submissions Tax scheduling Sars submission Banking Assist new employees Liaise with internal and external
maintained and reconciled monthly Provide support for banking and month-end payment Ensuring compliance with
closed out timeously Prepare reconciliations for all bank accounts on a weekly basis Proactively seek improvements
Vat submissions Tax scheduling Sars submission Banking Assist new employees Liaise with internal and external
Handling trust accounts with precision Utilizing banking experience to streamline financial transactions
Vat submissions Tax scheduling Sars submission Banking Assist new employees Liaise with internal and external
requests for source document changes
Monitor bank accounts regularly throughout the day to handle
financial operations within the company, such as AP, banking, invoicing, and other transactions,
limited to the following duties: Review and approve banking transactions Manage cash flow and forecast fund