Financial Management
Monthly distribution of electronic levy statements;
Collection of levies, service charges and (or) other income;
Issuing of levy clearance certificate
Credit control of levy payments;
Processing of supplier / service provider / municipal invoices (including monthly payment processing)
Preparation of annual budgets, ensuring its compliance in terms of regulations provided in the Sectional Title Act;
The cost reduction analysis and definition of annual objectives (including annual strategic initiatives)
Daily management of trust funds and investment funds;
Preparation of audit file at year end and liaison with auditors
The submission of Annual Tax Returns;
Debt collection services in relation to arrear levies / charges and liaison with legal service provider(s)