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Financial Management

We implement a standardized accounting system that provides detailed monthly balance sheet, statement of income and expenses, monthly statement of cash receipts, and cash disbursements.  Financial management includes:

  • Tenant billing and collection
  • Payment of supplier invoices and other expenses
  • Cash management and banking
  • Accounting and reporting
  • Property tax appeal coordination
  • Comprehensive monthly financial reports
  • Year end audit working paper files

Contact Info

P.O. Box 540787
Grand Prairie, Texas 75054
817.453.1197 Tel
817.453.8854 Fax
broker@weststartx.com