Assist in monthly compliance returns (VAT and WHT)
Assistance on annual financial audits as required
Work closely with the rest of the Asset Management Team helping in preparing documentation for stakeholders
Reporting duties: assistance with AFS preparation
Maintenance of a register of all contractual agreements for the Group
Banking: Complete FOREX payments form on the physical and banking platforms
Loading of supplier details and payments on banking system
Draw of proof of payments and distribution to the related manager/supplier
Salary: R negotiable dependent on experienceJoin us on SOCIAL MEDIA or visit our WEBSITE for more information. See links below.Follow us on FacebookFollow us on LinkedInVisit our WebsiteTime PersonnelRecruiter
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