· Performing Statutory Audits on Pension, Provident and Retirement funds.
· Collecting and collating necessary client information and ensuring validity and accuracy.
· Calculations (no accounting functions, pure audit) and inspecting statutory documents and account journal entries.
· Expressing an opinion on the financial statements of the fund, once the inspection is complete.
· Compiling a complete audit file for the Manager or Partner on the job to review.
· Clearing Partner, Manager and Supervisor queries that arise from the file review.