Propertyware Bookkeeping for Property Managers
Keep Your Propertyware
Books Clean.
Keep Your Portfolio Moving.
Propertyware gives single-family property managers powerful control over accounting, reporting, owners, vendors, and portfolio activity.
AnswerTenant gives property management companies dedicated bookkeeping support around their Propertyware workflow, so your team spends less time fixing financials and more time managing the portfolio.
Bookkeeping Support
What It’s Like Working With AnswerTenant
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Propertyware Gives You Control. We Help Keep
the Accounting Behind It Under Control.
Propertyware gives property management companies a flexible accounting environment. But powerful software does not eliminate the need for good bookkeeping.
That is where AnswerTenant comes in. We provide bookkeeping support specifically for property management companies using Propertyware.
Our team helps manage the accounting work behind Propertywar from bank reconciliations and transaction review to AP/AR, management fees, owner activity, cleanup, and month-end bookkeeping.
The goal is simple: keep Propertyware updated and keep the financial information inside it dependable.
Start With a Free Propertyware Review
We review your current accounting workflow, bank accounts, reporting process, and bookkeeping challenges.
Property Management Specialists
We understand owners, tenants, properties, deposits, management fees, and portfolio reporting.
Cleanup + Ongoing Bookkeeping
We can clean up historical issues and keep your books organized month after month.
A Team You Can Actually Reach
We keep communication clear and surface questions before they become month-end surprises.
Companies Supported
Focus
Support
Propertyware Accounting Support Built Around Your Property Management Operation
Your accounting software should help you run the business not turn your property managers into bookkeepers. AnswerTenant helps keep your Propertyware environment organized and ready for reporting.
Ongoing Propertyware Bookkeeping
Every property creates financial activity. Rent comes in, bills arrive, fees are earned, deposits move, and bank activity needs to be reconciled.
Bank & Trust Reconciliations
We review bank and trust activity, resolve unmatched transactions, and keep reconciliations moving so small issues do not become bigger month end problems.
AP, AR & Owner Activity
We help keep vendor bills, tenant payments, owner activity, management fees, and receivables organized and visible.
Propertyware Cleanup & Catch-Up
We work through historical issues, identify discrepancies, reconcile accounts, correct records, and establish a cleaner bookkeeping process going forward.
Propertyware Can Find the Exception. We Help You Work Through It.
Something Doesn't Look Right in Propertyware?
A Better Bookkeeping Process in 3 Steps
Understand Your Setup
We learn your properties, portfolios, bank accounts, fees, owners, Propertyware organization, and reporting requirements.
Review & Clean Up
We identify unreconciled accounts, old transactions, incorrect balances, and other issues then clean up what needs attention.
Keep the Books Moving
We establish a recurring bookkeeping workflow, follow a schedule, and communicate exceptions early.
Trusted by Property Management Teams
Helping property managers spend less time in the books and more time running their portfolios.