Specialized Solution
Trust Accounting, Property P&Ls & Multi-Entity Financial Management
Streamline property management finances, trust account reconciliations, investor distribution schedules, and multi-entity tax prep for real estate firms.
Common Challenges You Face
- !Managing separate P&Ls and bank accounts for dozens of property entities
- !Strict regulatory compliance required for tenant security deposit trust accounts
- !Complex depreciation and capital improvement expense classification
How CashFlowCalm Solves It
- ✓Consolidated and property-level P&L reporting
- ✓100% compliant trust account auditing and reconciliation
- ✓Investor distribution and capital call financial reporting
Included Capabilities
Multi-entity Chart of Accounts setup
Automated rent payment matching from property management software
1099-MISC vendor filing prep for maintenance contractors
CPA property tax readiness review
Eliminate Financial Blind Spots Today
Schedule a 30-minute discovery session with our senior finance team. We'll map your accounting workflows and model your runway.