Trail Balance, Income Statements, Balance Sheet and Cash Flow). SARS Tax Practitioners: VAT, PAYE and Income cashflow forecast. Maintain weekly cash bank balances Reporting weekly cash flow figures to the Financial
Trail Balance, Income Statements, Balance Sheet and Cash Flow).SARS
board meetings and other ad hoc events.
presentations, board meetings and other ad hoc events. Coordinate travel arrangements, including booking flights and update contact lists, databases, and files. Coordinate and oversee special projects and events as assigned
e-learning courses, assessments and workshops Coordinating external training as the need arises Ensuring budget and that the budget is fully utilised Coordinate and manage the learnership, internship and apprenticeship
e-learning courses, assessments and workshops Coordinating external training as the need arises Ensuring budget and that the budget is fully utilised Coordinate and manage the learnership, internship and apprenticeship
receivable Perform bank reconciliations and manage cash flow Maintain and update the general ledger Regulatory