Accurately report tenant payments received and due, and performs account analysis and reconciliation when tenants question tenant statements.
Researches and answers questions regarding tenant statements.
Prepares security deposit refund invoices and delivers to Accounts Payable department.
Prepares tenant account analysis and reconciliations when tenants dispute charges to their accounts.
To Prepare Reports that must include items such as development expenses, operational costs and profits.
To provide investment analysis and planning for organizations seeking to acquire or develop the property.
Calculates and enters monthly contract item accruals such as janitorial, security and utility expenses to match expenses to period incurred, and review trial balance for reversing of same entries in next accounting period.
Calculates and enters rehab capitalization entry.
Prepares balance sheet tie-out to balance the general ledger and commercial management systems.
Prepares Preview Statements and distributes to field to ensure following month’s recurring charges and past due charges are accurate.
Calculates and records appropriate depreciation and amortization of fixed assets, tenant improvements, and leasing commissions.
Grade 12 Certificate with 5 ‘O’ levels credits or better including English and Mathematics.
Full ACCA or Finalists ACCA, ZICA
Minimum 2 years relevant experience
Member of the Zambia Institute of Chartered Accountants
Excellent Communication Skills both oral and writing
Juba Transport is a leading fuel transporter in Zambia, with a large fleet of vehicles delivering petroleum products from depots to filling stations around the country. This company also transports acid from Ndola to the Democratic Republic of Congo. Juba is dedicated to providing consistent, efficient and effective transport services. It operates a Quality Management System (QMS) and uses procedures that seek to comply with ISO standards. Juba Transport Ltd is ISO 9001:2008 certified by SGS South Africa.