people's person who is interested in property management & software solutions and has extensive rental in the developing solutions for the property management industry. They are committed to developing the the most advanced end-to-end property management ecosystem, enabling seamless migration processes, and Ability to work under pressure Self-management and time-management Understanding of basic accounting principles principles Operational rental management experience would be beneficial Knowledge of rental legislation
p>
Our client, a market leader in property management software has an opportunity for a Training Corporate & HOA management software that enables property managers to manage their property portfolio seamlessly integrates all the functions of property management and accounting.
The Training Consultant Responsibilities:
intelligent software solutions for the property management industry. As a Junior Accountant , you will play responsible for processing daily transactions, managing accounts payable and receivable, assisting with with meticulous attention to detail and accuracy. Manage accounts payable by accurately recording and processing Update insurance policy on new assets purchased and manage insurance claims process. Support month-end and closing activities, including preparation of Management Accounts and reports as needed. Prepare statutory
people's person who is interested in property management & software solutions and has extensive rental in the developing solutions for the property management industry. They are committed to developing the the most advanced end-to-end property management ecosystem, enabling seamless migration processes, and to work under pressure
will include but not limited to: Manage the OPEX debtors function Manage and process Job Cards to invoices invoices and send to clients monthly Manage and prepare statements to be sent to customers monthly Perform to debtor's clerk and intervene where necessary Manage and support the debtor's clerk where needed Only
for the processing of accounting records up to management accounts for multiple companies in the group queries
Desired Experience
for the processing of accounting records up to management accounts for multiple companies in the group with queries Ad hoc reporting as required my management Calculation and submission of monthly statutory reconciling loan accounts Preparation of monthly management accounts Bcompt in financial accounting Completed
to the the Financial Director. Responsibilities: Manage Company financial information effectively and efficiently fixed assets and asset management Journals Petty Cash and Credit Card management and reconciliation Assist
for the processing of accounting records up to management accounts for multiple companies in the group with queries. Ad hoc reporting as required by my management. Calculation and submission of monthly statutory reconciling loan accounts. Preparation of monthly management accounts. Salary: Market-related.
payroll function of allocated clients. Plan and manage all client deliverables i.e. all inter-functional returns. Assist in the preparation of monthly management accounts/reports and related documentation. Maintain close working-relationships with the Account Manager. Manage allocated client relationships and ensure compliance compliance. Utilise CRM and Practice Manager to document required activities. Pro-actively train and