with a strong finance background including office admin and operations. Responsibilities: Bookkeeping to capturing Workman's Compensation Admin function: answering phone, general emails, booking couriers HR function:
Reconciliations for Payroll: comparing payroll data to general ledger entries and posting corrections where needed accounts, identify where reconciling items exist Assist with monthly VAT submissions, monthly VAT reasonability
while overseeing financial operations for both general financial management activities and specific projects financial controls are in place - Liaise with and assist in the annual external audit process, develop and and ensure adherence to ERP system controls - Assist with business decisions to ensure profitable transactions
VAT submissions, PAYE submissions and all other general accounting functions Prepare monthly management payments Stakeholder liaison and service delivery Assist in preparation of shareholder reports Liaise with
Creditors Fixed Asset Register Assist with month end roll over procedures Assist in providing information and reports to Head Office Assist in preparation of Cash Flow Computations. Assist with preparation and coordination coordination of audit processes Assist with problem solving any financial ad hoc tasks as required Requirements:
exceptions Process correcting journals in the general ledger Maintain and reconcile cashbooks, store
exceptions Process correcting journals in the general ledger Maintain and reconcile cashbooks, store
An opportunity for a Financial Manager to assist the Head of Finance with accounting operations is available under pressure, send me your CV Responsibilities: Assist in overseeing the operations of the accounting followed Develop and drive continuous improvement Assist in the management of various financial accounting Manage finance related systems and internal controls Assist with the management of networking capital and forex
submission of any other relevant regulatory reporting Assist with audit pack completion Managing financial and
growth. Responsibilities: Daily reconciliations assisting with daily NAV process Full fund accounting of