Accounts Payable Processing
Invoice coding, approval routing, and payment processing against the property chart of accounts.
Services are grouped by engagement type. Scope and pricing are tailored to portfolio size, asset class, and reporting complexity.
I · FIXED MONTHLY FEE
Monthly, fixed-scope services — the accounting backbone of the engagement.
Invoice coding, approval routing, and payment processing against the property chart of accounts.
Rent charges, CAM/escalation billing, delinquency tracking, and collections coordination.
Monthly reconciliation of all operating and reserve accounts to the general ledger.
Bank balance, trust ledger, and liability schedule reconciled monthly to state real estate commission standards.
Deposit tracking, interest accrual where required, and liability schedules separate from operating cash.
Fee computation per management agreement terms and invoicing to ownership.
Distributable cash calculation and disbursement, including waterfall and tiered structures.
Balance sheet, income statement, and supporting schedules for owner-operated or third-party managed assets.
GL integrity, account mapping, and month-end close support.
II · HOURLY / PROJECT-BASED
Scoped as needed outside the recurring monthly engagement.
Annual vendor and owner 1099 preparation, W-9 collection, and IRS e-filing.
Annual common area maintenance true-up calculations and tenant billing.
Ratio utility billing system setup and monthly tenant utility charge processing.
Chart of accounts setup, opening balance verification, and system configuration for newly managed assets.
Financial and lease file review to support purchase, sale, or refinance decisions.
Annual operating budgets and periodic reforecasts by property and portfolio.
Capital expenditure tracking, fixed asset schedules, and depreciation maintenance.
Tenant and vendor certificate of insurance collection, expiration monitoring, and coverage compliance.
Filing support in jurisdictions imposing tax on commercial rental income.
III · FRACTIONAL CFO
CFO and controller-level oversight for clients requiring institutional-grade financial infrastructure.
Fractional controller-level oversight without the cost of a full-time hire.
NOI trends, occupancy, delinquency, and variance reporting for ownership.
Rolling short-term liquidity forecasting at the property or portfolio level.
Covenant reporting packages and lender-required financial deliverables.
Loan schedule maintenance and proactive covenant threshold tracking.
Structured close timelines with defined ownership and review checkpoints.
Documented procedures and control design to prevent single-point-of-failure risk in cash handling.
Audit-ready workpapers and direct coordination with your external auditor.
AppFolio, MRI, and Yardi configuration, workflow design, and reporting automation.
Not sure which engagement fits?
We'll scope it with you — fixed monthly fee for core services, hourly for specialized work.