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
records and compliance with standards. They manage municipal accounts, prepare management reports, analyse
statements, and assisting with audits. They will track municipal queries, ensure accurate billing and expense payments
statements, and assisting with audits. They will track municipal queries, ensure accurate billing and expense payments
records and compliance with standards. They manage municipal accounts, prepare management reports, analyse
handling of VAT calculations and submissions, will capture and compile financial information according to
handling of VAT calculations and submissions, will capture and compile financial information according to
reports to the Group Finance Manager and will capture and compile financial information according to
reports to the Group Finance Manager and will capture and compile financial information according to