• Counter duties, attending to receipt of documents; • Validating Original Bill; • Client Liaison; • Reconcile payments for receipting; • Receiving and acknowledging receipt of Release Documents; • Capturing of Release Documents and hand to AM for final release; • Expediting Agent haul
• Counter duties, attending to receipt of documents; • Validating Original Bill; • Client Liaison; • Reconcile payments for receipting; • Receiving and acknowledging receipt of Release Documents; • Capturing of Release Documents and hand to AM for final release; • Expediting Agent haul
Risk submissions. Must have up to date knowledge of tax legislation, exchange control regulations, IFRS &
and cash flows for clients - VAT & provisional tax calculations - Preparation of Audit packs for auditors
balance sheet reconciliations. Manage cash flow, tax forecasting, and variance analysis. Ensure timely