agreed budgets. Banking and reconciliation Manage end of day procedures and banking Administration Maintain
agreed budgets. Banking and reconciliation Manage end of day procedures and banking Administration Maintain
capital management. Attendance of monthly and year end stock takes. Product costing and bill of materials Ledger reconciliations review and sign-off Year-end audit Board meetings Company secretarial duties BBBEE
returns for specific entities Preparing for year end audit for specific entities Preparing cash management
help us expand our clientele. You will be at the front of the company and will have the dedication to create
help us expand our clientele. You will be at the front of the company and will have the dedication to create
submission thereof (including budgets, interim and year-end packs). Ensure the integrity of the IFRS financial timely basis. Be the key contact for interim and year-end external audit and annual report preparation. Ensure
VAT returns for specific entities Prepare for year-end audit for specific entities Preparing of cash management