POSITION PURPOSE
Responsible for the full debtors function of the group's property management division. Incorporating admin and lease fee invoices between the trust and business sites. Creating commission and various recovery invoices, credit notes and ad-hoc invoicing on behalf of the Group. Preparation of incentive commission schedules to HR. Following up on outstanding debtors, performing collection activities and prepare reconciliations of debtor accounts when required.
Responsible for management accounts for the entity Broll Property Management Services. Keeps records and accounts accurate and current. Researches and resolves discrepancies and accounting errors. Completes related reports, summaries, and records.
ESSENTIAL FUNCTIONS AND BASIC DUTIES
1. Assumes responsibility for the effective and professional performance of collections functions.
a. Liaise and communicate with accountants/financial managers and portfolio excutives to ensure prompt submission of admin and commission debtors and payment thereof.
2. Assumes responsibility for the efficient administration of collections activities.
a. Keep accurate and up-to-date activity reports on outstanding debtors.
b. Handle account queries efficiently.
c. Check accuracy and validity of requests from portfolio's to process credit notes
d. Verify commission calculations as per Broll Online schedule vs schedules from portfolios.
e. Liaise with book keeping and accounting staff re bank account deposits, queries and mis-allocations
f. Integration of admin and lease fees between the regional trust sites and business accounts.
g. Identify cost and create recovery invoices for various property management divisions.
h. Keeping invoice registers
i. Updating commission schedules and incentives to be forwarded to HR.
j. Keeping audit files iro credit notes, invoices and supporting documents.
3. Assumes responsibility for the accurate and timely completion of assigned accounting functions.
a. Reviews source documents and records daily transactions.
b. Reconciles general ledger accounts as assigned.
c.. Performs miscellaneous filing/sorting of checks, journals, daily write-ups, etc.
d. Completes required records and reports and maintains files.
e. Monthly VAT Submission and reconciliation of Input/Output accounts to the Income Statement.
f. Maintaining fixed asset register
g. Bank reconciliation
h. Agree inter company balance
4. Assumes responsibility for timely and accurate preperation and submission of management reports.
MNCJobs.co.za will not be responsible for any payment made to a third-party. All Terms of Use are applicable.