AP operations to ensure proper reconciliations. Cashbook reconciliations. Fixed asset checks, recharges recharges and VAT on foreign countries. Payroll reconciliation. VAT submissions, queries, and SARS requests.
AP operations to ensure proper reconciliations. Cashbook reconciliations. Fixed asset checks, recharges recharges and VAT on foreign countries. Payroll reconciliation. VAT submissions, queries, and SARS requests.
environment, you will be equipped with the reconciliations, banking, and preparation of annual financial Annual financial reporting Annual audits Reconciliations Investing Disinvesting Banking Sars submissions
environment, you will be equipped with the reconciliations, banking, and preparation of annual financial Annual financial reporting Annual audits Reconciliations Investing Disinvesting Banking Sars submissions
ensure they are closed out timeously Prepare reconciliations for all bank accounts on a weekly basis Proactively Experience: Experienced in consolidation, Journals, reconciliation, and audit support Knowledge of, IFRS, VAT
ensure they are closed out timeously Prepare reconciliations for all bank accounts on a weekly basis Proactively Experience: Experienced in consolidation, Journals, reconciliation, and audit support Knowledge of, IFRS, VAT
Fixed Asset Register Prepare Balance Sheet reconciliations Prepare monthly management accounts Banking
EMP501 SARS submission Review working papers Reconciliations Skills and Experience: Fund Administration
Fixed Asset Register Prepare Balance Sheet reconciliations Prepare monthly management accounts Banking
EMP501 SARS submission Review working papers Reconciliations Skills and Experience: Fund Administration