Property Accounting Services

Reliable Property Financial Management

Reliable Property Financial Management

Full-service property accounting for commercial and residential portfolios — from monthly bookkeeping and bank reconciliation to owner reporting and audit support.

Property Accounting Services

  • Monthly bookkeeping & journal entries
  • Accounts payable & receivable management
  • Bank & escrow reconciliation
  • General ledger maintenance
  • Owner & investor distribution reports
  • CAM budgeting & actual variance analysis

Why Choose Our Property Accounting Services?

Certified Experts

Industry-certified professionals with deep domain expertise delivering consistently high-quality results.

Fast Turnaround

Flexible SLAs with express delivery options — 24/7 operations ensure your deadlines are always met.

ISO 27001 Secure

Your data is protected with enterprise-grade security, NDAs, and strict access control protocols.

Cost-Effective

Reduce operational costs by 40–60% compared to in-house teams without sacrificing quality.

500
Projects Delivered
98
% Accuracy Rate
150
Global Clients
24
7 Support

Frequently Asked Questions

We follow GAAP and can accommodate IFRS 16 / ASC 842 lease accounting standards for corporate clients.
Yes. Many clients use us as a fully outsourced property accounting function, reducing cost by 40–60% versus in-house staff.

Industries We Serve

Our Property Accounting Services solutions are tailored for diverse industries across India, USA, UK, Australia and beyond.

Property Managers
REITs
Developers
Residential Landlords
Commercial Landlords
HOAs
Mixed-Use Properties
Retail Parks
Industrial Parks
Student Housing

How It Works

A structured, transparent process that ensures quality, speed and complete client satisfaction.

01
Chart of Accounts Setup
Step 1 of the Property Accounting Services delivery process.
02
Rent Roll Maintenance
Step 2 of the Property Accounting Services delivery process.
03
AP/AR Processing
Step 3 of the Property Accounting Services delivery process.
04
Bank Reconciliation
Step 4 of the Property Accounting Services delivery process.
05
Owner's Statement
Step 5 of the Property Accounting Services delivery process.
06
Audit-ready Financials
Step 6 of the Property Accounting Services delivery process.

Our property books are always audit-ready. Vortexsoft handles 300 units flawlessly.

W
Wendy T., Controller
Vortexsoft Client

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