/>Operational duties include:
Banking
Accounts
Reporting
Investments
SARS / EMP201
Reporting
ranging from project administration, banking, invoicing, some reporting and even assisting some clients.
ranging from project administration, banking, invoicing, some reporting and even assisting some clients.
procedures Bank relationship – compliance documentation and agreements Monthly reporting Unique opportunity
accounts
Banking and cash management
Review and distribution of financial reports
Preparation
and reconciliation Bank reconciliation Tax administration – Monthly VAT reporting, PAYE reporting and
and reconciliation Bank reconciliation Tax administration – Monthly VAT reporting, PAYE reporting and
active accounts and relationship with banks Producing various reports such as CAM Review Report, H4 Board
accounts