This department is staffed by our qualified Portfolio managers  and accounts assistants, and is responsible for the preparation of the monthly statements. In addition we provide the following services:

  • Rendering of the monthly levy accounts
  • Collection and receipting of levies and any other moneys including water, electricity and gas charges due to the body corporate
  • Credit control for outstanding levies
  • Corresponding with attorneys and or debt collectors for the collection of outstanding levies
  • Monthly trial balance prepared and presented to the chairman showing all income and expenditure for the preceding month
  • Attending to account queries from any unit owners
  • Payment of all accounts, including wages, insurance, maintenance & municipal accounts
  • The attending of trustees meetings when required
  • Preparation and distribution of all meeting notices, as well as all other body corporate correspondence on behalf of the Chairman & trustees. This includes all agendas, notices, proxies, and balance sheets necessary for the Annual General Meeting
  • Engaging & discharging of staff
  • Assistance to the trustees & chairman in the efficient running of the day to day matters arising, including the enforcement of the Body Corporate rules, as well as the general Sectional Title Rules
  • Liaising with the body corporate auditors in respect of the annual audited financial audit as required in terms of the Sectional Title Act
  • Preparation on any clearance certificates required in respect of the resale of any units
  • Liaising with the body corporate insurance in the preparation of any claims arising