

Salefish Properties
has state-of-the-art computer software that
maintains complete and accurate
records
on each property.

The database tracks all work orders,
bill payments, rental payments, management fees, special
notes,
and any other income or expenses associated with your
property.

The database tracks all deposits
held, whether the purpose is for tenancy or property
purchase.

A statement is provided each month to
the investment owner.

If you have multiple
investment properties, we provide a consolidated report with each
property
itemized in a separate section of the report.

All Florida brokerages are required
to perform monthly reconciliations on all escrow accounts.
This report itemizes the dollar amount being held in
trust for each tenant, Landlord or Sales
Buyer.

Annually, we prepare a 1099 and year-end
account summary of all income and
expenses.