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Financial Management
- Management Handover and Mobilisation Services
- Handling client bank accounts in trust in accordance with S.42 of The L&T Act 1987
- Preparation of service charge budgets and tenant packs
- Issuing service charge demands
- Processing payments for property expenditure
- Accounting service charge income and property expenditure
- Regular variance reports to assess expenditure in line with good estate management
- Reconcile accounts
- Production of service charge accounts
- Issue year-end service charge certificates
- Statements of accounts for tenants

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