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- Recordkeeping: Maintain accurate and up-to-date records of all financial transactions in accordance with company policies and accounting standards.
- Annual Financial Statements (AFS): Assist in the preparation and finalization of annual financial statements to ensure compliance with relevant regulations and standards.
- Management Accounts: Prepare monthly management accounts, including profit and loss statements, balance sheets, and cash flow statements, to provide insights into financial performance.
- VAT Submissions: Prepare and submit VAT returns accurately and on time, ensuring compliance with all relevant tax regulations.
- EMP201: Prepare and submit monthly EMP201 returns, ensuring all payroll taxes are accurately calculated and remitted.
- EMP501: Assist in the preparation and submission of bi-annual EMP501 reconciliations to ensure compliance with tax authority requirements.
- Reconciliations: Perform regular reconciliations of bank statements, accounts payable and receivable, and other financial accounts to ensure accuracy and consistency.
- Debtors and Creditors Management: Monitor and manage debtor and creditor accounts, ensuring timely payments and collections, and resolving any discrepancies.
- Forex Transactions: Handle foreign exchange transactions, including recording, reconciling, and reporting on currency conversions and exchange rates
To apply immediately for this position click here: www.totalrecruitment.solutions/candidate_registration_1.aspx?JobID=73290&referrer=Unique
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