Reference: CAW005423-KdW-2 Financial Assistant - George Western Cape Our client based in George , Western Western Cape is looking to employ a Financial Assistant to join their team. Minimum requirements: Matric transactions Processing of inventory movements Assisting with inventory reconcilliations Please note that
Reference: CAW005423-KdW-2 Financial Assistant - George Western Cape Our client based in George , Western Western Cape is looking to employ a Financial Assistant to join their team. Minimum requirements: Matric transactions Processing of inventory movements Assisting with inventory reconcilliations Please note that
join their team in Knysna . The candidate will assist the Director with general administration work. inventory Management of daily, Month ends and year ends Assist with financial year end audits Responsible for VAT Reconciliation of general ledger accounts Assistance of Safe guarding Assets & Risk management
join their team in Knysna . The candidate will assist the Director with general administration work. inventory Management of daily, Month ends and year ends Assist with financial year end audits Responsible for VAT Reconciliation of general ledger accounts Assistance of Safe guarding Assets & Risk management
tax returns (for individuals, companies, trusts) Assist with tax administration Preparation of tax calculations Preparation of VAT and EMP201 returns Provide assistance with SARS objections/disputes/verifications Tax
tax returns (for individuals, companies, trusts) Assist with tax administration Preparation of tax calculations Preparation of VAT and EMP201 returns Provide assistance with SARS objections/disputes/verifications Tax
dealership. From managing financial records to assisting with administrative tasks, you'll be at the heart financial reports and summaries for management review Assist with inventory management and reconciliation Handle
Job Description: This role will be focused on assisting clients with compilations of financial statements bookkeeping experience with accounting knowledge to assist clients with monthly work. To have an understanding
card statement reconciles to General ledger. Assisting Financial manager as and when required Daily capturing
clear and understandable manner. Audit Support : Assisting clients in the event of a tax audit by providing