Job Purpose:
To
manage property and facilities finance operations, focusing on tenant billing,
receivables, reconciliations, and fund accounting support, while ensuring
compliance with Britam Asset Managers’ financial procedures and controls.
Key responsibilities
- Tenant Billing: Raise and manage invoices for
rent, service charge, parking, and letting fees.
- Utility Billing: Prepare and process monthly
electricity billing.
- Receipting and Reconciliation: Record and
reconcile tenant payments.
- Receivables Management: Maintain updated
receivables schedules and ensure timely collection.
- Account Statements: Prepare and distribute
tenant account statements.
- Process Payments: Process payments for
facilities and property-related expenses.
- Fund Accounting Support: Provide assistance to
the Fund Accounting team as required.
- Performs any other duties as required
Knowledge, experience and qualifications
required
- Certified Public Accountant of Kenya Finalist or
equivalent.
- Bachelor of Commerce (Accounting) or its
equivalent
- 3-4 years’ experience in busy finance
environment preferably in real estate or serviced apartments.
How to Apply
