Tax Administrator (JB4239) Northern Suburbs, Cape Town R20 – 25 000, per month CTC Permanent A financial reporting and financial training is seeking a Tax Administrator to join their team in a hybrid capacity. You accounting and finance tasks, and other general administrative duties related to tax. Minimum Requirements: Returns 6 monthly within the deadline. Ensuring all clients are Tax Compliant. Reconciling and completing complied with, including the invoicing timeously, of all tax work performed as per policy. Providing tax input
management division through providing professional administrative support and preparation of technical analysis the allocated wealth manager. Key functions: Administrative support to Wealth Manager Prepare and collate of client review packs (with assistance from administrative team and Paraplanners where necessary and as internal compliance standards. Ensure CDD is done on all clients based on their risk profile according to and Financial Advisors with administrative tasks or within administration with a focus on high volume
management division through providing professional administrative support and preparation of technical analysis the allocated wealth manager. Key functions: Administrative support to Wealth Manager Prepare and collate of client review packs (with assistance from administrative team and Paraplanners where necessary and as internal compliance standards. Ensure CDD is done on all clients based on their risk profile according to and Financial Advisors with administrative tasks or within administration with a focus on high volume
responsibility and accountability for the Financial administration functions and to ensure finance reporting and are accurately onto banking platforms General Administration Complete filing Manage and assume responsibility Personal Information Act(POPI ACT) Provide administration assistance to MD and FM Carry out any reasonable
approved investor instructions to outsourced administrator Degree in Banking, Finance, Investments or Insurance
approved investor instructions to outsourced administrator Degree in Banking, Finance, Investments or Insurance
Obtain all supplier statements at month end Compare to creditors ledger in Syspro Account for all reconciling reconciling items Ensure all tax invoices are VAT compliant i.t.o. of SARS requirements Finalize creditors Nedbank Prepare monthly Accrual List of all creditors Follow up on all outstanding queries with operations and Process invoices onto Syspro Process and check all freight invoices Capture freight invoices Ensure payment system Process all monthly cashbooks (Cheque account and credit cards) Ensure all invoices are processed
trial balances and financial reports represent, in all material aspects, the financial position and performance register maintenance Reviewing of all billing schedules Approval of all manual invoicing done and ensuring Holding group VAT calculation and submissions for all entities Monitoring of SARS e-filing profile for income state ent and balance sheets Payroll for all companies: Payroll review and sign off and loading Processing of payroll journal and reconciling of all control accounts. Maintenance of NOVA Human Capital
trial balances and financial reports represent, in all material aspects, the financial position and performance register maintenance Reviewing of all billing schedules Approval of all manual invoicing done and ensuring Holding group VAT calculation and submissions for all entities Monitoring of SARS e-filing profile for income state ent and balance sheets Payroll for all companies: Payroll review and sign off and loading Processing of payroll journal and reconciling of all control accounts. Maintenance of NOVA Human Capital
salaries for the group of Companies Processing of all transactions up to trial balance, including invoicing of junior accounting and admin staff. Preparing all applicable income and balance sheet reconciliations monthly management accounts. Cash flow projections. All applicable statutory returns. Preparing annual income