Body Corporate
This department is staffed by our qualified Portfolio managers and accounts assistants, and is responsible for the preparation of the monthly statements. In addition we provide the following services:
- Rendering of the monthly levy accounts
- Collection and receipting of levies and any other moneys including water, electricity and gas charges due to the body corporate
- Credit control for outstanding levies
- Corresponding with attorneys and or debt collectors for the collection of outstanding levies
- Monthly trial balance prepared and presented to the chairman showing all income and expenditure for the preceding month
- Attending to account queries from any unit owners
- Payment of all accounts, including wages, insurance, maintenance & municipal accounts
- The attending of trustees meetings when required
- Preparation and distribution of all meeting notices, as well as all other body corporate correspondence on behalf of the Chairman & trustees. This includes all agendas, notices, proxies, and balance sheets necessary for the Annual General Meeting
- Engaging & discharging of staff
- Assistance to the trustees & chairman in the efficient running of the day to day matters arising, including the enforcement of the Body Corporate rules, as well as the general Sectional Title Rules
- Liaising with the body corporate auditors in respect of the annual audited financial audit as required in terms of the Sectional Title Act
- Preparation on any clearance certificates required in respect of the resale of any units
- Liaising with the body corporate insurance in the preparation of any claims arising
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