Financial & Accounting
Financial Solutions for Commercial Property Management
Financial transparency is critical in property management. Maestri-Murrell provides comprehensive accounting support—including bank reconciliations, detailed rent rolls, income statements, and year-end tax prep—to help clients stay compliant, informed, and confident in their investment performance.
Financial & Accounting
We provide complete, accurate oversight of property financials—giving owners, investors, and lenders full visibility into asset performance.
Our Financial & Accounting Capabilities
- Rent Collection & Receivables Management
- Accounts Payable & Vendor Payments
- Bank Account Management & Reconciliations
- Monthly Financial Reporting
- Budget Preparation & Forecasting
- + More
What We Help You With
Day-to-day financial operations handled—so your numbers stay clean and decision-ready.
Rent Collection & Receivables Management
Keep cash flow predictable by posting rents, tracking receivables, and managing collections.
Accounts Payable & Vendor Payments
Control costs and pay on time with invoice workflow, coding, approvals, and vendor disbursements.
Bank Account Management & Reconciliations
Maintain audit-ready books with monthly reconciliations for operating, security-deposit, and trust accounts.
Monthly Financial Reporting
We deliver lender-ready financial packages: income statement, balance sheet, cash flow, budget vs. actuals, A/R aging, and lease expiration summaries.
Budget Preparation & Forecasting
Build annual operating budgets with rolling forecasts and variance analysis to guide decisions and optimize expenses.
Occupational License Renewals
Keep properties compliant by tracking and renewing required occupational licenses.
Year-End Tax Prep & 1099 Issuance
Close the year cleanly with prepared financials and on-time 1099s for vendors and contractors.
Audit Preparation & Support
Simplify audits with organized work papers, reconciliations, and direct coordination with auditors.
Security Deposit Administration
Administer deposits in line with law—posting, reconciling, and processing forfeits and refunds.
Why Choose Us
We ensure compliance, strengthen investment decision-making, and simplify financial operations
Whether managing cash flow, preparing audit-ready documents, or reconciling accounts, Maestri-Murrell offers the precision and reliability needed to protect your property’s financial health.
Why businesses choose to work with us:
- Transparent owner statements with variance commentary
- Proactive guidance on budgets, NOI, and cash flow decisions
- Lender and auditor-friendly work papers and reporting
Industries We Serve
Where your industry meets our insight
Property Management Team
Denis Murrell
Director of Operations
Commercial Property Management
Adrienne Walker
Operations Associate / Multifamily
Commercial Property Management
Sharon Grimes
Director Of Human Resources & Office Manager
Commercial Property Management
Alycia Millien
Multifamily Accounting Associate
Commercial Property Management
Shana Wickersham
Regional Property Manager
Commercial Property Management
Melanie Juneau
Administrative Assistant
Commercial Property Management
Donna Frost
Director of Accounting
Commercial Property Management
Suzy Fonseca
Accounting
Commercial Property Management
Joan DeJean
Accounting
Commercial Property Management
