Bookkeeping Professional | Reconciliations
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AppFolio: Property and unit setup, lease creation, and tenant onboarding Rent collection, late fee automation & delinquency tracking Owner statements & monthly reporting Bank and security deposit account reconciliation Maintenance coordination and work order tracking Vendor setup, invoice entry, and 1099 preparation Trust accounting compliance & audit support Rent roll management & tenant ledger updates and corrections. Owner distributions & monthly reporting Bank account & security deposit reconciliations Vendor payments & 1099 preparation Property onboarding and tenant move-ins/outs Monthly close-out and trust account compliance Accurate data entry & transaction categorization Bank & credit card reconciliation Accounts payable (AP) & accounts receivable (AR) Payroll processing Monthly/quarterly financial reports Clean-up and catch-up bookkeeping
Bachelor of Computer Science (BCompSc), Lahore