Arrange opening of Investment and current bank accounts for Schemes
Transfer of funds between Trust and Investment accounts
Arrange regular insurance valuations of schemes
Ensuring insurance premiums are paid to date and insurance claims management
Ensuring timeous payments of service providers / contractors / municipal accounts for schemes
Advising of Sectional Title and HOA matters, supporting and guiding the Trustees
Regular complex inspections
Assisting Trustees with maintenance related matters e.g. obtaining of quotations / reports
Managing annual fire equipment services and ensure required compliance certificates in place
Review and awareness of sale of units and transfers within the portfolio
Ensuring levies are charged in line with the approved budgets
Ensure schemes spend in line with their approved budgets
Review monthly debtors to ensure cash flow and liaise with debt collector regarding actions to be taken, where need be
Ensure resolutions are signed
Ensuring employees sign contracts of employment and provide relevant payroll supporting documents
Management of staff loans, leave and authorization of wages / salary reports, with the assistance of the Administrator
Making documents available to relevant parties (estate agents, lawyers, owners, banks)
Archive and filing management, email and document management
Attending and minuting General Meetings and Trustee Meetings
Drafting notices, circulars and letters
Budget preparations (ensure approved budgets are loaded timeously) and attend to levy increase letters to owners & new budget resolution to be signed by Trustees
Review monthly community reports and distribution to Trustees
Review of draft financial statements
Management of complex loans and recovery of same via special levies
Ensuring complexes are registered for Tax in line with SARS requirements and annual submissions are done timeously
Facilitating collection procedures and reporting to Trustees, debtors and cash management
Drafting, with the assistance of the Bookkeeper, annual scheme budgets for the Trustees' consideration
Availability over WhatsApp
Assistance in preparing and updating the 10-year maintenance plan
Assistance with rule creation and registration at CSOS
Attend to the take-on of new schemes and related functions
Represent the Trustees at CSOS disputes, where requested
Additional duties:
Opening of bank accounts (current & investment) for new schemes taken on
Opening of Netcash account for new schemes taken on
Loading of debit order batch for monthly levy payments by clients
Daily authorizing of payments
Loading of monthly CSM staff salaries & distribution of staff pay slips
Attending to loading & authorizing of CSM & CS department invoices
Drafting of management agreement - for new clients and renewals
Doing proposals for potential new clients / meet with potential new clients
Marketing to bring on new schemes
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