which journals are referring to balance daily. -Municipal Schedule preparation to ensure up to date records records are maintained in respect of Municipal suppliers and accurate recording of any disputes. -Matching
designated Portfolio Manager. Handle monthly municipal reconciliations and insurance queries. Prepare
designated Portfolio Manager. Handle monthly municipal reconciliations and insurance queries. Prepare
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
with the correct exchange rates applied; Update municipal rates in SAP, as and when required to ensure accurate system; Perform the processing and closing of municipal accounts payments for closed stores; Process all with the correct exchange rates applied; Update municipal rates in SAP, as and when required to ensure accurate system; Perform the processing and closing of municipal accounts payments for closed stores; Process all
with the correct exchange rates applied; Update municipal rates in SAP, as and when required to ensure accurate system; Perform the processing and closing of municipal accounts payments for closed stores; Process all with the correct exchange rates applied; Update municipal rates in SAP, as and when required to ensure accurate system; Perform the processing and closing of municipal accounts payments for closed stores; Process all
comprehensive customer database including Key Accounts, Municipal clients, Trade/Retail partners, and Smart Meters
avoided Reconcile supplier statements Manage municipal accounts and resolve queries General administration