liaison with Municpality and the Company Works with recoveries from tenants. Makes necessary adjustments to all Utility Bills Monitor Consumptions Ensure recoveries from tenants Oversee all deposits paid to Ethekwini Ethekwini Report on monthly billings and recoveries Ensure monthly water and electricity readings are taken taken on time Monthly schedules of all recoveries. Updating lease schedules with any amendments Insurance with municipality, maintaining rates expense and recovery schedules. Review Watch dog report monthly from
and/or decline client invoices Keep track of client assets. Assist accountants with tax return preparation Account reconciliations Fixed Asset Register maintenance - capturing of new assets / disposal and depreciation
actuals in-depth property analysis and reporting Asset management Financial profitability analysis 4 year
actuals in-depth property analysis and reporting Asset management Financial profitability analysis 4 year
secure, comfortable environment by maintaining all assets through ongoing preventive maintenance programs
internal controls to safeguard the company's financial assets. Financial Decision Making: Provide financial insights
implement internal control procedures to safeguard assets, maintain data integrity, and ensure compliance
information security to protect the bank's digital assets and information. Collaborate with IT, cybersecurity
information security to protect the bank's digital assets and information. Collaborate with IT, cybersecurity