Preparation of full set of interim and annual financial statements (Income statements,
Balance Sheet, Cash flow statement and the accompanying notes to the financial statements)
Preparation of monthly and/or quarterly management accounts (Income statement and Balance
Sheet).
Decluttering financial statements.
Secondment of CA(SA) for financial reporting purposes and finance activities (month-end and
year-end).
Preparation of audit file for annual audit purposes (audit readiness assistance).
Bookkeeping and capturing from source documents i.e. Invoices to records.