Daily/weekly reconciliations of the client account on the property management software (software is Qube MRI sales and lettings and training will be provided)
Daily/weekly processing of rental transactions
Reconciliation of commission due to the office account
Reconciliation of the deposit account to the software
Supplier invoices for office
Liaising with accountants with regards to monthly, quarterly and annual bookkeeping queries
Submitting overseas landlord tax returns
Processing contractor invoices for managed properties
Landlord annual tax statements through software
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