McConaghy Properties P/L
September 2006 - June 2013
allocating daily receipts, process journals, raise tenants invoices, monthly billing, extra trade calculations, %rent calculations, annual tenants rent reviews, monthly GST/BAS processing, P&L reviews & journals, monthly income reconciliations, prepayments, fixed assets, bank reconciliations (18) accts. Maintain budget files, outgoings letters to tenants re budget & actuals. Gift Chq reconciliations, cheque requisitions for AP.
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