Stout Management has a full-service Accounting Team that manages all financial aspects of your property. Comprehensive financial reporting is provided to each of our owners on monthly basis in the accounting method of their choice.
All aspects of this process are handled at our corporate office to ensure consistency, timeliness and accuracy. This allows the on-site team to focus on property operations, not accounting. On our dime, not yours.
Accounts Receivable – Properties have the ability to accept all forms of payments on the property including Credit Cards and ACH transactions and eMoney orders through each resident’s on-line portal. All physical funds are electronically deposited from the property via check scanner to avoid trips to the bank and lost deposits.
Accounts Payable – Performed in our corporate office to ensure all bills are received and paid on time. The on-site team uses a purchase order system to maintain budget adherence and to verify invoices received at the corporate office are valid.
We have worked with variety of lenders and have produced reporting for all different types of ownership groups. Stout can accommodate any of your specialized reporting needs. Your dedicated Property is Accountant will be familiar with every aspect of property and is just a phone call away.