Years of Experience, Unmatched Expertise
Often overlooked and undervalued, accurate trust accounting is vital to the success of a property management company, whose most important function is being a guardian of other people’s money. Trust accounting must be accurate, proficient, and above reproach. It’s vital to ensure that trust accounts always reach a three-way reconciliation.
WHAT OUR CLIENTS ARE SAYING...
SERVICES
Taking Your Business to
the Next Level
Trust Account Reconciliations
Never sweat another Real Estate Commission audit with our three-way reconciliation process that ensures the accuracy and completeness of your accounts.
Full Service Trust Accounting
Rest easy at night, confident that your clients' and residents' money is being accurately and completely accounted for.
Consulting
Maximize your property management firm's financial performance with expert trust accounting consulting that provides tailored solutions and industry-leading insights.
PRICING
Full Service Trust Accounting
$13/Door ($500 min)
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Trust account reconciliations service plus;
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Enter vendor & other 3rd-party invoices
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Review & pay vendors weekly
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Tenant move-in/out accounting
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Process NSF fees
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Record move-out expenses
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Process security deposit refunds, book bank transfers as needed
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Post & pay management fees
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Issue payments to owners
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Prepare & send end-of-year cash flow statements
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Review of financial diagnostics reports
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Banking transactions & transfers
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Enter Corrective entries & adjustments into system as needed
Additional Services
We’re Good with Numbers
15
Years of Experience
1000+
Trust Account Reconciliations
Per Year
0
DRE Audit Failures
ABOUT
Our Experts Are the Finest
Our founder, Kristin Johnson, is a former property management company owner and CFO who knows what it takes to be trust account compliant. Our team is passionate about helping you remove that burden so you can focus on what you do best.​ At Bynnd, we are a full-service trust accounting firm for property management companies. Our services include trust account clean-up, third-party three-way reconciliations, and ongoing full-service trust bookkeeping.