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
changes/updates
changes/updates Notify Finance of any Utility/Municipal/Recovery Accruals monthly Maintain Parking Schedules Schedules and Access discs Processing of Municipal and other invoices in conjunction with PM and Finance
In-house system Update Lease Register Annual Municipal and Rates increases Draft Lease Authority Requests Prepare handover to Legal Credit Controller where applicable Property Administration: Maintain Property, Unit changes/updates Notify Finance of any Utility/Municipal/Recovery Accruals monthly Maintain Parking Schedules Schedules and Access discs Processing of Municipal and other invoices in conjunction with PM and Finance
In-house system Update Lease Register Annual Municipal and Rates increases Draft Lease Authority Requests Prepare handover to Legal Credit Controller where applicable Property Administration: Maintain Property, Unit changes/updates Notify Finance of any Utility/Municipal/Recovery Accruals monthly Maintain Parking Schedules Schedules and Access discs Processing of Municipal and other invoices in conjunction with PM and Finance
from tracking maintenance costs to navigating municipality statements
management and payment of property accounts (municipal water and electricity, rentals, etc) ± R25k per
from tracking maintenance costs to navigating municipality statements