Accurate. Timely. Reliable.
We prepare monthly reports and thoroughly review based on your firm’s reporting requirements. We are experienced with a variety of investor reporting requirements including Yardi software.
Tracking & Compliance Tools
Our Accounting platform has internal systems that have been put in place to confirm that the following items are completed and reviewed by your accountant and is delivered by your expected due date.
- Monthly Financial Reports
- Tenant Recovery Reconciliations
- Tenant Recovery Escrows
- Real Estate Tax Payments
Our approach to managing, maintaining, and measuring quality services is grounded in our organizational model, which features key leadership positions at the corporate and account levels that are accountable for quality service delivery. Regular internal audits confirm the efficiency and accuracy of our performance model.
An accounting manager or controller verifies the content and accuracy of the accountant’s work for every monthly report. In addition, your property manager adds their information into the monthly report and a senior leader will provide a final review of the financial statement before it is delivered to you.