clients through the compilation of financial statements and independent reviews, as well as handling documentation from clients. Compiling Annual Financial Statements for Companies and CCs based on IFRS for SME’s proficiently compiling Trust Annual Financial Statements. Demonstrating a solid grasp of accounting standards
for clients
records for clients Preparation of financial statements Monthly VAT and EMP submissions Liaising with
Maintain client accounting records Prepare financial statements and handle VAT and EMP submissions Foster strong
records for clients Preparation of financial statements Monthly VAT and EMP submissions Liaising with
relevant reports
met by ensuring correct pricing and accurate capturing of receipts. Ensure branch administration is operating
met by ensuring correct pricing and accurate capturing of receipts. Ensure branch administration is operating