function, encompassing accounting, reporting, treasury, tax, and project
management
restaurant. The ideal candidate will manage financial transactions, ensure accurate payroll processing, and provide compliance. Monitor and reconcile bank statements and transactions. Payroll Administration: Process and manage Ensure compliance with all payroll regulations and tax requirements. Handle payroll-related inquiries and
Provisional tax calculations Compile AFS and tax computations on Caseware Submission of annual tax returns
discrepancies in a timely manner, ensuring all transactions are accurately recorded. Maintain accurate records accuracy and compliance, particularly in rental transactions. Support audits by providing necessary documentation car rental operations and related financial transactions is an advantage. R 15 000,00
information relating to master data as well as transactions in both hard and soft copy 1.1.11 Full reconciliation or requested. 1.2.4 Assist Financial Manager with tax related documentation as and when required. 1.2.5 Human Resources and Organisational Development. We partner with small and medium businesses, and render specialised
Prepares reports by compiling summaries of earnings, taxes, deductions, leave, etc. Providing information and Calculating payable hours, commissions, bonuses, tax withholdings, and deductions Preparing and issuing
Prepares reports by compiling summaries of earnings, taxes, deductions, leave, etc. Providing information and Calculating payable hours, commissions, bonuses, tax withholdings, and deductions Preparing and issuing
Prepares reports by compiling summaries of earnings, taxes, deductions, leave, etc. Providing information and Calculating payable hours, commissions, bonuses, tax withholdings, and deductions Preparing and issuing
Prepares reports by compiling summaries of earnings, taxes, deductions, leave, etc. Providing information and Calculating payable hours, commissions, bonuses, tax withholdings, and deductions Preparing and issuing
management reports Record all day-to-day financial transactions of our companies Ensure financial records are and foreign Reconciliation of related party transactions Recharges-ensuring costs and monies are recovered