Provide Financial managment support to managers - payments, requisitions etc
Compile month end reporting packs for various stakeholders'
Process journal entries and general ledger entries
Manage the month end closing process
Prepare regulatory reporting submissions
Income Tax, VAT and PAYE tax reporting , submissions and payment
Process the journal entiries and general ledger entries
Prepare Annual Financial statements
Income Statement performance analysis
Fixed asset Management - capitilizations, depriciations and reconciliation
Keep up to date wih IFRS standards and all accounting concepts,practices and procedures
Income statements perfomance anaylsis
Balance sheet account reconciliations
Accounting for prepayments and accruals
Fixed asset management - capitalilization, depreciation and reconciliation
Keep up to date with IFRS - standards and all accouning concept,pratices and procedures
Variance and trend analysis - budget versus acutual and forecasting
Manage external audit and associate queries
Undertake special and ad-hoc projects
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