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Financial Analysis

Careful cash management, budgeting and forecasting is essential to protecting and growing the bottom line of your real estate holdings. We manage capital resources with the same diligence we apply to facilities management and maintenance. We manage all physical assets with great care to ensure their long-term value - understanding all financial requirements are critical to balancing the management of tenant improvements, site enhancements, cash flow and maximized return on investment.

We offer a full range of standard accounting functions, such as bookkeeping, collections, cash management, tenant billing and operations budgeting. In-depth summary reports include income statements, a balance sheet, general ledger, bank reconciliations and other data pertinent to the performance of your property. Depending on your needs, we can also provide cost optimization and customized financial services.