respective municipalities
Resolves municipal accounts queries with relevant municipalities, and records billing purposes - monthly
Checked/reconciled municipal accounts to be submitted to Accounts for management monthly
Resolves records queries with municipalities and external meter reading vendors
Reconciles vendors
Reconciles vendor pre-paid income with municipal accounts - monthly
Responsible for resolving tenant
respective municipalities Resolves municipal accounts queries with relevant municipalities, and records billing purposes - monthly Checked/reconciled municipal accounts to be submitted to Accounts for management Accounts - monthly Resolves records queries with municipalities and external meter reading vendors Reconciles Reconciles vendor pre-paid income with municipal accounts - monthly Responsible for resolving tenant utilities
respective municipalities Resolves municipal accounts queries with relevant municipalities, and records billing purposes - monthly Checked/reconciled municipal accounts to be submitted to Accounts for management Accounts - monthly Resolves records queries with municipalities and external meter reading vendors Reconciles Reconciles vendor pre-paid income with municipal accounts - monthly Responsible for resolving tenant utilities
cleaners
Inspect and check on Buildings/General
Inspect all units once/twice a year
Check legitimacy of tenants once/twice a year
General survey with tenants yearly
Show units to
Checking on cleaners Inspect and check on Buildings/General Inspect all units once/twice a year Check the legitimacy legitimacy of tenants once/twice a year General survey with tenants yearly Show units to prospective
Checking on cleaners Inspect and check on Buildings/General Inspect all units once/twice a year Check the legitimacy legitimacy of tenants once/twice a year General survey with tenants yearly Show units to prospective
monthly management accounts • Reconciliation of General Ledger Accounts • Assist with preparation of annual
monthly management accounts • Reconciliation of General Ledger Accounts • Assist with preparation of annual
monthly management accounts
Reconciliation of General Ledger Accounts
Assist with preparation