- Banks Reconciliation on monthly basis.
- Tax Management, Review, Computation, Remittance on monthly basis.
- Ensure preparation of schedules for Statutory payments such as VAT, WHT, PAYE and ensure remittance to appropriate tax Authority.
- Monthly Ledger review.
- Liaising with external Tax consultant on tax issues and queries..
- Bank Confirmation
- ERM reporting.
- Other duties as assigned from time to time.
How to Apply
Interested and qualified candidates should send their CV to: email@example.com
27th December, 2018.