To process client information via the accounting system to produce annual financial statements for sole proprietors, partnerships, close corporations, non-audit trusts and companies. Perform tax returns for all different entities.
- Source relevant client information
- Process and reconcile annual transactions from Source documents
- Prepare working paper files
- Resolve review queries and complete final entries and tax returns
- Process and reconcile monthly client transactions and procedures, monthly management account reports, as well as client statutory returns
- BCom Hons in Financial Accounting
- Working knowledge of Caseware and Pastel
- Computer literate
- Customer focused
- Excellent communication and time management skills
- High levels of quality and detail orientation
- Valid drives licence and own transport
How To Apply
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