
Accounting Services for Property Management Companies
"Enhance your property accounting processes with Fintrah’s end-to-end accounting solutions tailored for property management firms"
Financial Statement Analysis
We provide comprehensive financial analysis that offers valuable insights into the performance of funds and their divisions, supporting informed decision-making and helping clients reach their financial goals.
Treasury Operations
We offer end-to-end treasury support, including bank reconciliations, cash deposit management, and ACH remittance processing.
Trial Balance and Project Cost Summary
Our team calculates the development fee due to HIP Transaction Services each month while assessing the valuation of the outstanding loans for every project.
Accounts Payable
Our treasury services provide complete support for bank reconciliations, cash deposit handling, and ACH remittance processing.
Management/Sub-Management Fees
Our team calculates management fees based on the contributions and distributions of each partner, as well as the charges imposed by the investment manager for managing the investment fund.
Record to Report Services
Our services encompass financial analysis, interest accruals, loan draw preparation, debt scheduling, and line of credit management. We also offer fixed asset management, fund accounting, inter-company accounting, and a wide range of financial support services.
Our property accounting outsourcing services are tailored to simplify financial operations, maintain compliance, and support the achievement of your financial objectives. We ensure accurate and timely transaction processing while reducing value leakages and improving vendor and client satisfaction.