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I keep all of my rental property accounting in REI Hub and I’m looking for someone who already knows that platform inside-out. My portfolio is strictly real estate, so every transaction, reconciliation, and report has to be recorded at the property level and follow industry best practices. Here’s what I need from you: • Log in directly to my REI Hub account, import or match bank and credit-card feeds, and keep the books fully reconciled each month. • Make sure every expense and deposit is tied to the correct property and category so the built-in reports read cleanly for my CPA. • Flag anything unusual, missing, or that could affect year-end tax prep, and let me know right away so we can correct it. Deliverables will be considered complete when the REI Hub dashboard shows all accounts reconciled through the latest statement date and the standard reports (Profit & Loss, Cash Flow, and Balance Sheet) are export-ready without adjustments. If you’re fluent in REI Hub and comfortable with real-estate bookkeeping conventions, I’d love to work with you on a recurring basis. 5 properties; 3 sub portfolios in REI Hub; 3 checking accounts (10+/- monthly transactions) 3 credit cards (0-3 monthly transactions) Thanks, Jim
Project ID: 40562169
66 proposals
Remote project
Active 57 yrs ago
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