Syspro Cash flow – preparation Contract worker schedule and recon Inherent Requirements: Matric with Accounts have a strong interest in accounts Excellent communication skills People orientated Computer literate –
managing an annual audit. Strong written and oral communication skills Advanced excel financial modeling skills prioritise tasks and manage personal and departmental schedules effectively to meet tight deadlines. Experience
(Fully proficient in both a must) -Excellent communication skills in both Afrikaans and English a must journals are referring to balance daily. -Municipal Schedule preparation to ensure up to date records are maintained approval by appropriate departments or individuals -Scheduling payments in accordance with supplier terms and and adhering to proper practices. -Written communications between supplier and the company and accurately
the tax deadlines, requesting tax certificates, schedules, tax representation/engagement letters. Assist particulars/banking details. Compile tax calculations and schedules from client information, i.e. employee income annuity deductions and asset & liability schedules Capital reconciliations Complete income tax returns
individual who embodies excellence in organisation, communication, and multitasking to join LisaCorp Finance’s directors at LisaCorp Finance. Managing calendars, scheduling meetings, and coordinating travel arrangements Finance’s executives. Handling correspondence and communication on behalf of the directors at LisaCorp Finance
cash flow, debtor and creditor lists, repayment schedules, regulatory reports and any other filing. Collect request the payments or negotiate the payment schedules and contracts and follow-up the accounts to ensure
investments and insurance, communicating with clients, managing documentation, scheduling meetings, addressing
investments and insurance, communicating with clients, managing documentation, scheduling meetings, addressing
speak in other languages desirable • Ability to communicate professionally via all forms of media, both verbal journals • Submit monthly VAT returns and audit schedules when requested • Intercompany invoicing • Courier
reconciliation Financial Statements Prepare monthly schedules of figures for management accounts Reconciliation