YARDI BREEZE ACCOUNTING SPECIALIST
Budget: $30 – $250 CAD
Our property management firm maintains 51–100 residential units on Yardi, and the books need to be kept accurate and current each day while our annual and quarterly budgets stay on target. The assignment centres on two core activities performed directly inside Yardi:
• Daily bookkeeping: post rent payments, late fees, vendor invoices, journal entries and bank deposits; reconcile cash accounts so ledgers and bank balances always match.
• Budget management: build and update operating budgets, track variances in real time, and flag overruns early enough for us to act.
Month-end closes must be completed no later than the third business day, with clean reports ready for ownership review. Although formal financial reporting is not part of the initial scope, I may extend the contract to include it once the books and budgets are running smoothly.
Success is measured by a zero-variance reconciliation, on-time budget updates and clear Yardi audit trails for every transaction.
• Daily bookkeeping: post rent payments, late fees, vendor invoices, journal entries and bank deposits; reconcile cash accounts so ledgers and bank balances always match.
• Budget management: build and update operating budgets, track variances in real time, and flag overruns early enough for us to act.
Month-end closes must be completed no later than the third business day, with clean reports ready for ownership review. Although formal financial reporting is not part of the initial scope, I may extend the contract to include it once the books and budgets are running smoothly.
Success is measured by a zero-variance reconciliation, on-time budget updates and clear Yardi audit trails for every transaction.