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After establishing an operating budget, the management team monitors the
monthly cash flow, with careful attention to accounts receivable and payable,
delinquencies, and leasing variables. Tenant and vendor account histories are
created in our accounting and management software programs, allowing for
accurate tracking and billing. In addition, we offer a full general ledger
accounting package for each property. All financial and leasing information
is delivered to ownership in a comprehensive monthly reporting package.
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