Tax Planning
-
Assist the Central Management and Managing Director in producing papers for the Annual Plan of the Company. These papers include a planned Profit & Loss account, balance sheet and cash flow statement in the same format as for monthly reporting; calculation of commissions to be earned by the Company and a detailed staff costing etc.
-
Provide the Managing Director with information to allow him/her to make informed estimates of costs for future years
-
Preparation of Subsidiary Company Budgets