description: Preparing financial reports and statements Bank reconciliations Conducting cyclical audits for Property
information necessary for decision-making. Directs, train, supervises and appraises accounting personnel. rolls and rental statements Disbursement statements Bank reconciliations. Ensuring all invoices for the period
with preparing financial reports and statements,bank reconciliations , and conducting cyclical audits
assistance with PAYE, SDL and UIF payments Prepare bank reconciliation and perform revaluation on hard currency
assistance with PAYE, SDL and UIF payments Prepare bank reconciliation and perform revaluation on hard currency
that have been issued that would affect the group Training on the relevant topics to the group Review financial
that have been issued that would affect the group Training on the relevant topics to the group Review financial
accordance with existing policies Development, training and performance management of HOD's and staff
accordance with existing policies Development, training and performance management of HOD's and staff