Financial reporting is an integral part of the investment process for Monday Properties, our institutional partners and our investors.
It is essential for each owner to know where each investment stands financially. Monday Properties employs experienced accounting professionals to closely manage, monitor, control and report on all aspects of our investments, adhering and complying with strict institutional capital requirements.
Our team seamlessly and strategically aligns and integrates all teams and client requirements from the beginning of the acquisition process. All of our financial professionals have extensive experience in transaction accounting including acquisitions, dispositions, restructuring and refinancing. We produce financial statements in a number of basis including GAAP (historical basis or fair value), accrual, cash and tax basis.
Our standard platform is MRI Software with Nexus Payables for accounts payables. We also work with Yardi and other platforms as necessary. Our financial professionals are not only experienced in handling unique requirements but they are challenged to be the best in real estate.