*All-around trust bookkeeping* I handle the invoices entry and payment of bills to vendors, post tenant receipts and monitor bank deposits, and bank reconciliation of trust accounts, including both operating and escrow accounts. I also investigate and resolve any financial diagnostic issues that arise. In addition, I manage tenant move-outs, ensure timely posting and payment of management fees, and verify owner statement/ property balances to proceed with owner payments. I oversee the final accounting review during the termination of property management agreements and finalize property close-outs. I also address any billing concerns from property owners, vendors, and tenants, and manage the preparation of 1099 NEC and 1099 MISC forms. E-mail at
Experience: 1 - 2 years
Experience: 2 - 5 years
Experience: Less than 6 months
Experience: Less than 6 months
Experience: Less than 6 months
“I have found someone who is smart, has a great work ethic and is easy to work with.”
Sara Brumfield
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