Receipting tenants' trust deposits and payments Facilitate Third Party Fund Administration (TPFA) investments investments Rent reconciliation and journaling Facilitate landlords' expense and utilities payments; e.g. any queries or issues with debtor aging reports Facilitate promise-to-pay arrangements with debtors Handover
Receipting tenants' trust deposits and payments Facilitate Third Party Fund Administration (TPFA) investments investments Rent reconciliation and journaling Facilitate landlords' expense and utilities payments; e.g. any queries or issues with debtor aging reports Facilitate promise-to-pay arrangements with debtors Handover
Liaise with Management Companies and Custodians to facilitate the opening of client accounts . R 25000 - R
monitor and mitigate identified taxation risks. Facilitate and manage the preparation and review of the over all aspects of the tax process. Manage and facilitate tax audits: preparing responses, creating schedules
within the portfolio and management of same Facilitating collection procedures and reporting to trustees trustees and debtors and cash management Facilitation of staff payroll (HOA and Body Corporate) compliance
within the portfolio and management of same Facilitating collection procedures and reporting to trustees trustees and debtors and cash management Facilitation of staff payroll (HOA and Body Corporate) compliance
completion and filing of provisional tax returns. Facilitate vendor and customer onboarding processes with Compiling royalties report for intercompany and facilitating the audit process bi-annually. Support and assist
structuring advisory (local and offshore) – including facilitation with third party experts where necessary and Manager. Offshore and local trust advisory and facilitation – liaising and project management with third
of the debtors' accounts Customer Statements Facilitate New accounts – SAP system Master file maintenance recommendations on possible remedies Administration Audit facilitation Customer communication Business Unit communication
with external auditors and regulatory bodies to facilitate audits and inspections. Implement and update performance reviews for finance team members. Facilitate professional development and training opportunities