Developer Relationship Manager
Great Deal Real Estate
مجموع سنوات الخبرة :18 years, 1 أشهر
• Handle the property management department
• Close new business deals by coordinating requirements; developing and negotiating contracts; integrating contract requirements with business opportunities.
• Handling Developer relationship management
• Handling bank relationship management
• Mail - Incoming and outgoing
• Administrative support to ME Profit Centre.
• Preparing Visa and Legal documentation.
• Liasing with Operations Coordinator & Superintendents.
• Booking and planning hotels/flights etc.
• Liasing with other branch Operations Coordinators.
• Invoicing.
• Completing Reports with Superintendents
• Administration process for new ME Employees.
• Maintaining Mobile & Fixed Communication Accounts.
• Complete Turnover
• Admin for Diving Contracts on a daily basis.
• Preparing job files
• Preparing on-site documentation
• Keeping job file records up to date
• Closing jobs
• Completing Reports
" Prepare accurate and timely reports.
" Prepare and supervise preparation of the budget for the department.
" Reconciles online transaction with depository bank.
" Receive and verify invoices and requisitions for goods and services.
" Prepare annual cheque as and when required.
" Maintain updated vendor files and file numbers.
" Maintain inventory files.
" Prepare purchase orders.
" Maintain a filing system for all financial documents.
" Monitor and order office supplies.
" Exercises budgetary control.
" Prepare and negotiates contracts.
" Manage wide range of human resource issue.
" Follow payment collection from customers
" Supervising the implantation of new office systems
" Controlling the office budget, monthly invoices, staff expenses
" Develops policies and procedures to ensure consistency in such areas
" Organizing the recruitment of new staff with required comparison
" Reviewing and updating health and safety policies
" liaising with members of the senior management team
" Researches and analyzes current civil rights and human relations issues, laws, regulations, and policies
" writing reports
" Discussing and reporting problems with staff for senior managers
" Listen carefully to customers and ask questions about their current and future financial needs
" Identify carefully with more complex financial needs and refer them to sales specialists within the Bank.
" Participate in ongoing training to keep up to date with the Banks products, services and systems.
" Record funds from each cash source on a cash count sheet, post in detail register totals, receipts, shortage, overage and refunds.
" Prepares financial reports such as revenue summaries, revenue transmittal sheets, trial balance reports, and bank account reconciliation forms.
" Maintains and serves as point of contact with the Administrative Offices concerning accounting issues.
O - Level Degree from University of Cambridge London