Bank Cash books capturing of all data and reconcile Petty cash books capturing of all data and reconcile reconcile Capture & Calculate Tax Invoices Capture of Suppliers invoices Creating & Updating of customer Month End Journals Recons of accounts Banking Capture Payments Create & maintain payment accounts
Daily capturing of bank, petty cash and credit card statements, Prepare monthly reconciliations, Manage the accounting duties daily as well as monthly, Capture individual accounts for personal income tax submissions Reconciling supplier ledgers and debtors books, Daily capturing of debtors invoices for all clients, Do payroll
statements, collaborating on process automation with the data team, and ensuring regulatory adherence in a dynamic of income tax returns
Mozambique related duties:
legislation and be comfortable dealing with systems and data integration. Two subordinates Accountant and bookkeeper interpreting, and analysing financial information. · Income data importation and reconciliation with the companies · Financial System development, integration, and data integrity evaluation. · Processing annual SARS Section and bonus provision journals for month end and capture to financial system. · Monthly EMP201 reconciliation Skills: · Ability to manipulate large amounts of data. · Dynamic and strategic thinker with the ability
within a similar role. Exposure to high volumes of data with different divisions and an engineering background authorization from Accountants and ensure timeous capturing by Bookkeepers. Prepare and submit forecasts to
Description – Capture invoices daily – Ensure accuracy and correct coding – Adhere to company policies
Clerk – Wynberg, Johannesburg – R25 000 Month end Capturing. Update collection target with payments daily
(Tax, Pension, and medical aid contributions) Capturing of UI19 Information Manage the payroll to ensure Petty Cash Ensure cash book entries have been captured and allocated to appropriate general ledger accounts
the Company by ensuring that the data and reports are correctly captured and readily available for the Company Assist with the collation of all documentation and data for BBBEE reporting Assist with the collation of