(nil’s) – Monthly UIF submissions – Monthly PAYE capturing – Employer PAYE reconciliations – Pastel Accounting
payment reminders.
availability of fuel and ordering of fuel for all depots Capturing of delivery notes Managing the interdepartmental
principles, rules and tax regulation (including BBBEE) Banking relationship Interaction with all departments in Balance Sheet Recon reviews Payment release on the bank (local/foreign/payroll) Month end GL and account
statements and payment reminders. Process and reconcile bank accounts. Processing petty cash and reconciling