Stonehenge Advisors, Inc. ("Stonehenge") will provide complete management, accounting and maintenance services for the property. Stonehenge, upon commencement and award of the contract, will set up a separate operating bank account for the property. Stonehenge will be responsible for writing all checks and approving all bills at the property. Stonehenge will issue monthly rental bills to each Tenant and will also issue monthly condo fee invoices to each condominium Owner.
In addition, the Owner/Board will receive a full accounting package consisting of a Budget Comparison, Balance Sheet, Income Statement, Account Receivable Summary, Deposit Register, Check Register, Bank Reconciliation, Account Payable Summary, Rent Roll and Invoice.
Stonehenge is not limited in scope or in a creative approach to the management of your property; we want to provide the best service possible. We look forward to any insight into management of the property from each Owner/Board. |