I'm currently preparing journal entries, bank reconciliations, financial statements, management reports, and month-end close activities at AJP Group for retail and commercial properties.
I manage fixed assets, depreciation, amortization, intercompany loan balances, creditors reconciliations, cash flow, and trial balance processes. I also approve banking transactions and support year-end audits.
Previously at AJP Group, I managed debtor collections, tenant billing, lease loading, municipal rates and taxes, retail-unit records, and reconciliations across 18 cashbooks. I reported revenue billed and collected to management and directors across a shopping-centre portfolio.
My background also includes residential credit control, lease administration, rentals, customer service, account reconciliations, payment allocations, and tenant queries. I'm completing a Diploma in Accounting Sciences while building on my financial information systems education.

