set of accounting books. Keep records of each owner's levy statements. Arrange annual accounting audit audit with the Auditor of the governing body. Preparation of the annual budget for calculating the levies Management: Control of current account as well as investment account at bank. Collection of levy fees sent out on a monthly basis. Settlement of all accounts of the governing body / association, e.g. electricity funds received in the governing body's own bank account. Provision of clearance certificates. Maintaining
customers monthly Perform reconciliations between accounting software and customer portals Management: Manage