Responsibilities:
Our client is currently seeking Portfolio Manager (Residential) to join their finance team in Johannesburg
Minimum of 5 years of experience in property management, with a focus on industrial and residential interpersonal skills
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Utility Management on Copper (Electricity Monitoring Software)
is seeking a senior Property Portfolio Manager with a Property Management qualification and MDA experience
individual, with a passion for property management, to manage a portfolio of diverse community schemes. Meetings for all community schemes under the assigned portfolio. Chair and/ or taking minutes of such meetings reports are generated for each building in the portfolio. Reports to be checked and distributed by priority relationships with relevant councils and utility management companies. Communicate with owners and resolving buildings in a portfolio. Update and renew insurance policies for buildings in the portfolio. Facilitate
individual, with a passion for property management, to manage a portfolio of diverse community schemes. Meetings for all community schemes under the assigned portfolio. Chair and/ or taking minutes of such meetings reports are generated for each building in the portfolio. Reports to be checked and distributed by priority relationships with relevant councils and utility management companies. Communicate with owners and resolving buildings in a portfolio. Update and renew insurance policies for buildings in the portfolio. Facilitate
required:
of professional development. We are seeking a Treasury Analyst that will be involved in various operational responsible to assist with cashflow forecasts, management of cash operations and the tracking of the organisation's look at all the banking processes, relationship management and acts as cross functional support. B Com Finance Minimum of 3- 6 years years experience within a treasury function Experience working in a global organization
detail-oriented and analytical Treasury Analyst to join our client's finance team. As a Treasury Analyst, you will will play a key role in managing our company's liquidity, cash flow, and financial risk. You will work closely closely with the Treasury Manager to ensure efficient cash management, optimize funding strategies, and liquidity for operational needs. Execute daily cash management activities, including funding transfers, investments investments, and debt payments. Assist in managing relationships with banks and financial institutions,