reconciliations (All business bank accounts: Trust, Business and Vat &Salaries account, including company
payables on the accounting system - Creditors Basic knowledge of taxes, specifically VAT Fixed asset recording
Responsibility for looking after the accounting processes VAT calculations, reconciliations and submissions
Responsible for Petty Cash distribution and accounting. Assist with VAT reconciliation as and when required.
Proficiency in using accounting software and banking platforms Experience with VAT regulations and compliance
This position will provide an accounting service to the property owing entity, as well as to assist the director with all his various business responsibilities. An ideal opportunity to work in the fast pace and exciting property industry. Management accounting and reporting Financial management of t
management and administration of accounts payable invoices Prepare quarterly VAT return invoices of all entities
balance, management accounts and payroll for clients. Responsible for calculating VAT, PAYE and other necessary up of more complex accounting records of clients. Review monthly bookkeeping / VAT clerks. Responsible
daily, weekly and monthly accounting functions up to trial balance, plus VAT Returns, SARS, Invoicing
Responsibilities Maintain client accounting records Prepare financial statements and handle VAT and EMP submissions