• Monthly/Annual processing of accounting records on accounting software
  • Reconciliation of bank statements, debtors and creditors
  • VAT reconciliations and submission of VAT201 returns to SARS
  • Preparing of management reports and budgets
  • Assisting with implementation of accounting systems and software
  • Preparing of financial statements in terms of required standards for individuals, partnerships, trusts, close corporations and companies
  • Perform independent reviews for Companies
  • Perform other agreed upon engagements in business and financial services