Capturing source data. Assist with accounting until trial balance. Preparing reconciliation of accounting records
of variances. Interpreting and analysis of trial balance Cashbook reconciliations Providing regular financial
review by Accounting Manager. Preparation of trial balance suitable for compilation of annual financial
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Maintaining accurate bookkeeping records up to trial balance. Handling VAT calculations and processing VAT
compliance for South African managed business units/trial balances.
Duties & Responsibiliti
review by Accounting Manager. Preparation of trial balance suitable for compilation of annual financial