Real Estate Accounting Services
Outsourced monthly bookkeeping, trust accounting, and financial reporting for property managers, investors, and developers.
Real Estate Accounting from Vertex Accounting
Monthly Bookkeeping
Accurate, on-time monthly bookkeeping including reconciliations, AP/AR, and custom reporting.
See how it works →Trust Accounting
Trust-compliant accounting with owner-by-owner reconciliation — the test a regulator actually applies.
See how it works →Bank Reconciliations
Every property bank account reconciled with proper trust and corporate fund separation.
See how it works →Accounts Payable & Receivable
End-to-end management of vendor invoices, tenant receipts, management fees, and owner distributions.
See how it works →Financial Reporting
Monthly packages including balance sheets, P&Ls, owner statements, and custom reports.
See how it works →Cleanup & Catch-Up
Correcting back-books, fixing misapplied transactions, and getting your accounting back on track.
See how it works →Platforms We Support
What Our Clients Say
“Vertex Accounting handles all our real estate accounting with precision. The monthly close is always on time and accurate.”
Sara Crosby
Real Estate Investor
“Switching to Vertex Accounting was the best decision. Clean books, on-time closes, and 40% savings.”
Steve Wilko
Owner Operator
“The team understands real estate accounting better than anyone we've worked with.”
Tracy Collins
Property Manager
Frequently Asked Questions
Ready for Expert Real Estate Accounting?
Schedule a call to learn how Vertex Accounting's outsourced accounting services can help you reduce costs and improve accuracy.
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