Services for

Self-Managed Communities

Use Allhardt as your outsourced association accounting department while your board remains responsible for community governance and operations.

Upscale condominium community and accounting office details
Community Accounting Services

Comprehensive financial support built around association needs.

Monthly Financials

Balance sheet, income statement, general ledger, bank reconciliations, and supporting schedules.

Accounts Receivable

Assessment billing, payment application, owner-ledger support, and receivable tracking.

Accounts Payable

Invoice processing, coding, payment support, vendor-account tracking, and documentation.

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Bank Reconciliations

Routine reconciliations and review of cash activity to support accurate financial reporting.

Assessment & Owner Accounting

Owner ledgers, delinquency reporting, payment-plan accounting, and account research.

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Budgeting & Forecasting

Annual budget preparation, variance analysis, forecasting, and financial-planning support.

Transition & Setup

Chart-of-accounts review, opening balances, owner/vendor setup, and accounting conversion support.

CPA & Audit Coordination

Organized schedules, reports, and accounting support for your CPA, audit, review, or tax process.

Estoppels and lender questionnaires: requests can be submitted directly through the Requests section.