This role is responsible for assisting with month end recons and assisting the team where needed including audit and annual financial statements. Duties: Assist the finance team with monthly recons and catch VAT recons. Assist with checking GL accounts for accuracy and correct allocations. Assist with checking Financial Statements. Assist with outstanding audit queries, where needed. Assist with cashbook recons
This role is responsible for assisting with month end recons and assisting the team where needed including audit and annual financial statements. Duties: Assist the finance team with monthly recons and catch VAT recons. Assist with checking GL accounts for accuracy and correct allocations. Assist with checking Financial Statements. Assist with outstanding audit queries, where needed. Assist with cashbook recons
processing invoices and preparing reconciliations (assisting with full function) Managing debtors, which includes and monthly invoice recovery (assisting with full function) Assisting with limited-month processes Supporting payment lists and requisitions Providing limited assistance with income tax and VAT submissions Performing
processing invoices and preparing reconciliations (assisting with full function) Managing debtors, which includes and monthly invoice recovery (assisting with full function) Assisting with limited-month processes Supporting payment lists and requisitions Providing limited assistance with income tax and VAT submissions Performing
the department manager on expected collections Assisting with ad hoc duties from time to time Reconciliation new accounts and maintaining current accounts Assisting with duties affiliated with the yearly audit Prepare
the department manager on expected collections Assisting with ad hoc duties from time to time Reconciliations new accounts and maintaining current accounts Assisting with duties affiliated with the yearly audit Preparing
Office Duties: Assist with general office duties, including orders. Budgeting Support: Assist in providing reconciliations and resolve any queries. Auditor Support: Assist internal and external auditors by providing supporting supporting documentation. Ad Hoc Support: Provide assistance with any ad hoc items as required. Qualifications
budgets and present them to the Board of Directors. Assist the MD and play a key role on the senior management ensure success through cost analyses. Revenue: Assist in setting annual revenue budgets. Actively participate updating trackers and attend weekly sales meetings. Assist in preparing monthly revenue reports to report Remuneration and Payroll Preparation and Administration: Assist in timely calculations of commission, increases annual increases, overtime, commission, and bonuses. Assist in approving new employee remuneration packages
budgets and present them to the Board of Directors. Assist the MD and play a key role on the senior management ensure success through cost analyses. Revenue: Assist in setting annual revenue budgets. Actively participate updating trackers and attend weekly sales meetings. Assist in preparing monthly revenue reports to report Remuneration and Payroll Preparation and Administration: Assist in timely calculations of commission, increases annual increases, overtime, commission, and bonuses. Assist in approving new employee remuneration packages
CBD. Key Responsibilities: Creditors Management: Assist in processing invoices and reconciliations, ensuring smooth financial closings. Year-End Audit Support: Assist in preparing audit files to facilitate year-end requisitions accurately and on time. Tax and VAT Assistance: Provide limited support in income tax and VAT