customer credit applications, revenue reviews and sales reports. Preparing and submitting all statutory required and requested. Monitoring and implementing internal controls. Assist with all company audits. Accounting/Finance
customer credit applications, revenue reviews and sales reports. Preparing and submitting all statutory required and requested. Monitoring and implementing internal controls. Assist with all company audits. Accounting/Finance
management accounts, monthly cash flow reports, sales reports, and project budget analyses. • Develop effectively within cross-functional teams and lead internal focus groups for organizational projects. • Willingness
management accounts, monthly cash flow reports, sales reports, and project budget analyses. • Develop effectively within cross-functional teams and lead internal focus groups for organizational projects. • Willingness
Tax Returns · Assist the tax manager with the administration of provisional tax and meeting deadlines · the refund list to the partners · Oversee the administration of SARS-related documentation received, i.e relating to the completion of returns and tax administration · Assisting compliance officers with GreatSoft-related Working knowledge of Income Tax Act and Tax Administration Act · Working knowledge of the SARS dispute
Tax Returns · Assist the tax manager with the administration of provisional tax and meeting deadlines · the refund list to the partners · Oversee the administration of SARS-related documentation received, i.e relating to the completion of returns and tax administration · Assisting compliance officers with GreatSoft-related Working knowledge of Income Tax Act and Tax Administration Act · Working knowledge of the SARS dispute
the processing of client information receipts, sales invoices, purchase invoices · Perform bank reconciliations · Process journal entries e.g., new instalment sale agreements, interest on borrowings, provisions,
the processing of client information receipts, sales invoices, purchase invoices · Perform bank reconciliations · Process journal entries e.g., new instalment sale agreements, interest on borrowings, provisions,
the processing of client information receipts, sales invoices, purchase invoices · Perform bank reconciliations · Process journal entries e.g., new instalment sale agreements, interest on borrowings, provisions,
the processing of client information receipts, sales invoices, purchase invoices · Perform bank reconciliations · Process journal entries e.g., new instalment sale agreements, interest on borrowings, provisions,