Property Accounting

A reliable close, every single month

Every month, our team reconciles your accounts, processes payables and receivables, and closes your books on a schedule you can count on — no more last-minute scrambles before an owner call or lender deadline.

What this looks like

Because we work exclusively in multifamily, we already understand the nuances of your operations: security deposits, owner draws, CAM, capital projects, and the reporting your investors expect.

You get a dedicated point of contact and financials you can actually trust — delivered in the format and cadence that works for your team.

The result is a month-end that just happens, quietly and on time, so you're never chasing numbers when it matters most.

Included in this service

  • Monthly bank & account reconciliations
  • Accounts payable & receivable processing
  • Security deposit & owner-draw tracking
  • CAM and capital project accounting
  • Scheduled, dependable month-end close
  • Investor- and lender-ready reporting
  • A dedicated point of contact

How we deliver

Multifamily by default

We know the edge cases in apartment accounting, so the nuances are handled without hand-holding.

Financials you trust

Clean, documented statements delivered in the format and cadence your team expects.

Deadline-ready

Owner calls and lender packages are covered — the numbers are ready before you need them.

Expert bookkeepers in all the major property management software

Entrata property management softwareResMan property management softwareRealPage property management softwareAppFolio property management softwareBuildium property management softwareYardi property management software

Let's take bookkeeping off your plate

Partner with seasoned multifamily experts who know your systems, your numbers, and your industry — so you can get back to running properties.