Introduction to the Property Ledger
This is the Property Ledger that Accounts for the entry of all Income and Expenses for the Property throughout the management of this Account. It encompasses the Owner, Resident, Vendors & Management Company and links all relative files for invoices, work orders & issued checks.
Open from the Tree View
From the Tree View:
- Expand either ACCT Payable or ACCT Receivable
- Select Ledger
- Enter the Street Name, City, or Owner Last Name for the property
- Then click SEARCH
- Click on the Ledger link
Open from the Command Center
From the Command Center:
- Select Command Center from the Tree
- Enter in the Street Name, Owner Last Name, or Resident Last Name for the Property
- Then Click SEARCH
- Select the CC link for the correct property (multiple properties may show up if they share the same street name)
- Once Populated, Click on the Ledger/Statement link under Accounting Information
Overview: Property Ledger
Property Ledger Orientation
1. Tree View Navigation
2. Ledger Horizontal Navigation /
- Menu Options
- Owner (Last Name)
- Resident (Status - Last Name)
3. Property Address & Identification #
4. Account Ledger Summary
- Balance Amount
- Minimum Retain Amount
- Current Rent Rate
- Election for Electronic Paylease Payment
5. Expense Entry
- Accounting Code Drop Down List
- Vendor Name or Second Owner Drop Down List
- Resident Name Drop Down List
- Payable to Primary Owner Check Box
- Entry Note
- Management Company Invoice # File Link Attachement
- Vendor Invoice #
- Management Company Work Order #
- Override Checkbox
- Entry Amount
- Browse Button & Selected File Window
- Pending Payable Check Box
- Post Button
6. Income Entry
- Accounting Code Drop Down List
- Proof/Month Drop Down List
- Resident Name Drop Down List
- Entry Note
- (Gold Account) Security Deposit Entry #
- Entry Amount
- Received Date
- Pending Receivable Check Box
- Post Button
7. Pending Transactions
- Payable
- Receivable
8. Owner Statement Message
- Text Box
- Save Button
*Text in the box will be displayed on the Ledger Statement
9. Ledger Load Range
- 1 Week
- 2 Weeks
- 1 Month
- 3 Months
- 6 Months
- 1 Year
- Year To Date
- All
10. Statement
- Print Preview Button*
- Send Email Check Box
11. Edited Items Below
- Update Button
12. Add Invoice to Expense Selected Below
- Browse Button & Selected File Window
- Add Invoice Button
13. Ledger Entries
- Check #
- Attachment
- Check Status
- Date of Entry
- Accounting Income Code
- Accounting Expense Code
- Party for Entry ( Vendor / Owner / Resident )
- (Gold Account) Security Deposit Entry #
- Invoice # or Proof Month
- Invoice Hyperlink
- Management Company Invoice # (Hyperlink)
- Expense Column
- Income Column
- Account Balance Column
- Line Item Notes
- Pay Batch #
- Deposit #
- Deposit Date
- Reconciled Date
- Income Received Date
- 506 - Security Deposit Transfer to Trust Column
- Invoice File List
- View File Hyperlink
- Add Invoice to Ledger when Printing
Note:* To Print the Account Statement Select Print Preview from the Property Ledger Screen described as Item 10 Above. Another window will appear on your computer where you can Save or Print from, as needed.
Report - Account Journal / Owner Statement
This Statement can also be generated in the Reports Screen...Click Here to see a Step-By-Step Tutorial Article to see How.
Report Navigation:
- Account Owner Name & Mailing Address
- Account Subject Property Address
- Line Number
- Date of Ledger Line Item
- Unit Number
- Name of Payee or Payer
- Line Item Transaction Description
- Reference Description (Work Order #, Inv. #, Month, etc.)
- Hyperlink to file cabinet documents referenced
- Check # for issued payment
- Income Amount
- Expense Amount
- Ledger Running Balance
Header & Footer Information:
a. Company Logo
b. Office Name and Contact information
c. Report Name
d. Date the Report was Run / Printed
e. Account Lease Information
f. Page Number of Report