financial operations of the property projects Perform bank, credit card and petty cash reconciliations Ensure
reconciliation and EMP201 returns Cashbook entries and bank reconciliations Prepare monthly journals General
financial statements Negotiate favourable terms of banking facilities with service providers Ensure accurate
financial statements Negotiate favourable terms of banking facilities with service providers Ensure accurate
invoices, managing cash transactions, reconciling bank balances, overseeing employee expenses and credit
invoices, managing cash transactions, reconciling bank balances, overseeing employee expenses and credit
budget (accumulation of businesses budgets) Group banking administration Review businesses tax schedules
budget (accumulation of businesses budgets) Group banking administration Review businesses tax schedules
function of the funds Operational duties include: Banking Accounts Reporting Investments SARS / EMP201 &
function of the funds Operational duties include: Banking Accounts Reporting Investments SARS / EMP201 &