audit plan. Prepare and review year-end reporting accounting and Tax Packs. Manage banking systems (users agree price increases with major customers. Manage costing department ensuring BOM accuracy and related variances
follow up on payments - Banking - recon bank accounts - keep financial records on assets and insurance
tests if required Conduct reference check Draft contract of employment Manage on-board completion of documentation: Provident Fund; Medical Aid; Tax; etc. Review contract of employment; Terms & Conditions and amend
tests if required Conduct reference check Draft contract of employment Manage on-board completion of documentation: Provident Fund; Medical Aid; Tax; etc. Review contract of employment; Terms & Conditions and amend