financial controls and procedures. Keep track of municipal accounts and reconciliations. Management Reporting:
compliant with relevant regulations. Reviewing municipal accounts. Initiating necessary actions for timely
any discrepancies. They will manage recoveries, municipal queries, and ensure compliance with lease and
any discrepancies. They will manage recoveries, municipal queries, and ensure compliance with lease and
avoided Reconcile supplier statements Manage municipal accounts and resolve queries General administration
Recoveries Payments Sundry Charges Adjustments Monitor municipal meter readings and investigate variances Reconcile
Recoveries Payments Sundry Charges Adjustments Monitor municipal meter readings and investigate variances Reconcile
tenants for outstanding accounts To engage with municipalities to ensure optimal rates and utilities accounts
tenants for outstanding accounts To engage with municipalities to ensure optimal rates and utilities accounts