Responsibilities will include but not be limited to, bank recons, compile / review income statements, income statement and balance sheet recons, review overheads, compile cash flow forecasts, finance report, fixed assets register - maintain and calculate depreciation, labelling of fixed assets, process depreciation journals and overhead expenses, VAT recons and return, monthly salary control account recons - balance sheet, monthly ROE, assist with budget preparation, audit file preparation, arrange Forex for travel purposes, and comparison of charges between Banks.Requirements:
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