- Balance Sheet
- Income and Expense Statements
- Budget-to-actuals (monthly and year-to-date)
- Accounts Payable and Accounts Receivable.
Clients will also receive a narrative property report detailing activity on maintenance and operational issues as well as updates on tenant matters.
Variances from budget are monitored and reported monthly with recommendations for correction. Cash management and collection procedures are firmly in place to ensure owners receive a maximized return. We develop an annual operating and capital budget that will be reviewed and approved by the owner.