Real Estate Trust Accounting
By focusing our expertise on property-based trust account management, we are able to provide efficient, reliable and cost-effective service.
Your agency can rely on REPAS for the following:
Primary Services
- Daily receipting/tenant bank download
- Daily bank reconciliations
- Processing creditor invoices
- Ad hoc disbursements
- Bi-month owner disbursement
- Close accounting month
- Sales settlements & disbursements
Customized Service Packages
From issuing daily receipts right through to the end of month payments and reporting, we can cover your trust accounting requirements with a tailored solution.
Please contact us for details