We are a Top Rated Company registered in Upwork - the world's largest online workplace, savvy businesses and professional freelancers go to work! We give our Best service in REAL ESTATE Field with Accounting/Bookkeeping ,Admin Support and Virtual Assistance.etc
We were able to Won the Top Rated Batch for our consistent, high- quality work done for many clients around the world since 2012.
We have given Our Best services to many Clients over the world and still some of them are Long Term and repeating Clients for Tax seasons.
Residential Bookkeeping: Use Propertyware, Quickbooks etc Categorize and Manage expenses for Propertywise using Bills /Receipts –
Maintain Vendor Ledgers- 1099’s
Bank Reconciliations and Credit Card Reconciliations
Update Owner Statements
Generate Financials for Tax Purposes ( Schedule E , P&L , Balance sheet,Cash Flow)
HOA Bookkeeping : Use Tops One , Paylease portal, MOB Banking etc
Manage Bill Payments
Manage Vendors and Owner Ledgers
Monthly Bank Reconciliations
Generate Financials to send to the Board
property management with propertyware system, accounting /bookkeeping for Taxes and generate reports for financial needs. 1099-misc tax filling , Administrative tasks
familiar with creating Cash flows using operating Agreements/HUD/ Closing Statements + Maintaining Rent Income on Properties + Reconciling Expenses + Taxes and Finally up to the Interest /Principal disbursements to investors.
Book keeping services and Reconciling Bank statements to Preparing Financial statements for tax purposes using Intuit Quickbooks Online Version
Property Management in Real Estate using Propertyware System
Maintaining following reports in Quickbooks; ( Quickbooks Online/Quickbooks Pro)
- Profit & Loss for Each Property
- Balance Sheet/Cash Flow
- Partner Contributions & Distributions
- Monthly Bank Reconciliations/Credit Card Accounts Reconciliations
- Expenses Reports for Reimbursements
- Tenant Ledgers
- Residential Bookkeeping: Use Propertyware, Quickbooks etc Categorize and Manage expenses for Propertywise using Bills /Receipts –
- Maintain Vendor Ledgers- 1099’s
- Bank Reconciliations and Credit Card Reconciliations
- Update Owner Statements
- Generate Financials for Tax Purposes ( Schedule E , P&L , Balance sheet,Cash Flow)
- HOA Bookkeeping : Use Tops One , Paylease portal, MOB Banking etc
- Manage Bill Paymentss
- Manage Vendors and Owner Ledgers
- Monthly Bank Reconciliations
- Generate Financials to send to the Board