Responsibilities: Own client base Processing information to TB Drafting of Annual Financial Statements SARS Registrations
to budgets Month end accruals and finalisation of TB's for month end accounts Analyse utility expenses interest charges on intercompany loans Reconciliation of TB balances to investment and bank account statements
processing
Handling accounting entries for GL / TB
Assisting in month-end and year-end processes
processing
Handling accounting entries for GL / TB
Assisting in month-end and year-end processes
and payments Processing accounting entries to GL / TB Supporting month-end and year-end processes which
Audit File Preparation Year end audit journals. Final TB. Balance Sheet complete Statutory SARS Submissions
Audit File Preparation Year end audit journals. Final TB. Balance Sheet complete Statutory SARS Submissions
payments processing Handling accounting entries for GL / TB Assisting in month-end and year-end processes, encompassing