Our Financial Service Department takes pride in producing extensive, user friendly financial reports that contain a detailed dashboard of the overall cash flow and budget status activity.
Monthly Financial package includes:
- Executive Summary – an overview of the financial, budget and tenant issues
- Income / Expense Statement
- Budget Variance /cash flow report
- Detailed General Ledger
- Balance Sheet
- Bank Statement and Reconciliation
- Rent Roll
- Check Register / Deposit Register
We provide crucial financial data to be utilized in assessing the various objectives of your real estate asset decisions.
Contact us today at 702-388-1800 or fill out our contact form for more information.