Property portfolio manager job description Purpose of the role: The Portfolio Manager [PM] for Solver and professional management of all Community Schemes [client] within his/her portfolio. The PM will have comfortable in managing junior staff and must have a fair understanding of internal staff management and procedures and above the standard requirements of a portfolio manager, the PM’s main objectives will include: Maintain of the client per the management agreement between the CLIENT and SPS. Manage the relationship with the
Property Management Company operating in Jhb North is on the lookout for a Property Portfolio Manager
experienced individual will be responsible to manage a diverse portfolio of properties (+- 15 commercial and residential
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CAW005599-LH2-1 Property Portfolio Manager - Jhb North - Gauteng A well-established Property Management Company operating for a Property Portfolio Manager. The experienced individual will be responsible to manage a diverse portfolio 16h30. Requirements: Sectional title property management experience Must have own reliable transport (not
Audit Portfolio Manager: IT(POS24163)
Rivonia, Sandton
R internal controls, risk management and governance, as designed and operated by management, are adequate and Controls
Reference: CPT000395-CH-1 A global pharmaceutical company has a position available for a Pharmacy Sales Consumer Product portfolio experience would be advantageous. At least one-year Pharmaceutical Sales experience
Reference: CPT000395-CH-1 A global pharmaceutical company has a position available for a Pharmacy Sales Consumer Product portfolio experience would be advantageous. At least one-year Pharmaceutical Sales experience
sales requirements. Portfolio is raw materials and finished products in the pharmaceutical industry Key Responsibilities Purchasing Diploma 3 year experience as a buyer in a pharmaceutical company - Preferred (Full role profile available
Payment Management
Preparation and timely submission of monthly Vat returns via
25th of each month:
o For clients under management
o Reconciliation of the vat clearing account
managers with finance related issues relating to the property portfolio under management.
accounting functions and staff where necessary Payment Management Preparation and timely submission of monthly by the 25th of each month: o For clients under management o Reconciliation of the vat clearing account property managers with finance related issues relating to the property portfolio under management. Discuss Discuss monthly accruals with property managers and ensure that the necessary amendments are done to accurately preliminary financial statements and advise property managers when ready. Review preliminary financial statements
provide high-level financial planning and portfolio management support to the USAID COP and all cross-cutting grants and contract management and reporting, human resource planning and management, and support for infrastructure compliance reporting for the Implementation Science portfolio This includes being responsible for efficient they are sent out to the donor by the grants management team Conduct financial analysis, and risk assessment procedures, systems, and models, (e.g. grants management oversight model, indirect cost recovery model)