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• Maintaining separate management company bank accounts
• Maintaining all books and records for the management company
• Reconciling monthly bank statements
• Checking, approving and payment of invoices
• Preparing financial reports for director meetings
• Dealing with the revenue commissioners for company tax
• Liaising with auditors during the issuing of the audit report and financial statements
• Talking to owners about queries they may have on their accounts and resolving same
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