Property Development and Support Services

Job description / Role

• Maintain and reconcile tenants ledger
• Maintain and reconcile post dated cheques
• Maintain payable accounts
• Support in the maintenance of occupancy and income status of properties
• Support in the internal company records updation
• Ensure all information related to properties is up to date and recorded
• Responsible for monthly bank reconciliations related to properties
• Responsible for inter company reconciliations
• Handling petty cash
• Other accounting duties as required

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