Timely and accurate financial reporting are essential to have an efficiently run community. With 360 Property Management you always know your property's financial situation.
Our Accounting Department works closely with our Property Manager to ensure responsible handling of all financial matters, including cash receipts, disbursements, financial reporting, budgeting and enforcement of lease provisions. Upon request we can create a customized financial report to fit your property's needs.
Scope of Financial Services:
- Process deposits & disbursements
- Bookkeeping reports
- Bill payments
- General building operations
- Monitor accounts payable and receivable
- Bank reconciliations
- Financial records
- Monthly summary of building activities