Managing Agent who will be responsible for providing support to Trustees of Sectional Title Schemes and Homeowners certificates. Maintaining Asset Registers where applicable. Maintenance and Repair Services: Receipt of quotations for repairs and giving instructions to contractors for minor repairs. Submission of quotations for Trustees and Management Committee. Payment of contractors from the governing body's own bank account after Project Management: Communication between the contractor and Board of Trustees or Management Committee
To support the Accounts Payable Manager in the preparation of all documentation for vendor payment Prepare Clerk · Good computer literacy in Microsoft applications especially Excel · Administrative skills · Good
professional profile photo is to accompany your application
EMPLOYMENT TYPEÂ Â :Â Â Â Â Â Â Â
contribute to minimization of expenses
requirements, and providing strategic financial advice to support business objectives. Financial Reporting: Prepare review financial statements in compliance with applicable accounting standards, ensuring accuracy and completeness with timely and accurate financial information to support decision-making processes. Tax Compliance: Coordinate Financial Analysis: Conduct financial analysis to support strategic initiatives, including investment opportunities cross-functional teams to provide financial insights and support business objectives. Regulatory Compliance: Stay
Provide supportive function to the Managing Director and ensure the efficient, accurate and timeous delivery functioning of a business; implementing and application of healthy business practices; Must understand
Provide supportive function to the Managing Director and ensure the efficient, accurate and timeous delivery functioning of a business; implementing and application of healthy business practices; Must understand
invoices are correctly linked to GRN's where applicable. Prepare clearing agent invoice packs in line line with SOP's. Sourcing and checking all supporting documentation. Prepare the relevant reconciliations updates and stock transfers accurately where applicable. Maintain inventory control sheets. Balance inventory
Provide financial planning support and solutions to clients and their needs Support investment professionals
Provide financial planning support and solutions to clients and their needs Support investment professionals
known to specialize in the implementation and support of ERP systems as well as Payroll & HR Systems of Interim and Annual Financial Statements SQL Support Adhoc tasks regarding AFS, Budget and Reporting