Our Services

Acuity Management provides a wide range of services designed to give brokers an
all inclusive management solution for their brokerage.

CREATION     |     MARKETING     |     TECHNOLOGY      |     MANAGEMENT     |     TRAINING     |     ACCOUNTING    |     ALL


ACCOUNTING & REPORTING

  Accounting is your brokerage's way to keep score while conducting business operations. Real Estate brokerages are required to maintain strict accounting requirements which should be handled with precision and care. Office bills, fees, associate commissions, earnings and expenses must be recorded in a way that is clean, swift and aids in an accurate accountability. This can be a complicated task for a Broker Owner to do by themselves which can lead to distraction from more powerful business moves. Acuity management will handle ALL the accounting for your brokerage in an accessible orderly way by creating databases and accounts to fit your needs.
 Behind every great business is an accurate picture of accounting which puts together the pieces of where your brokerage has been and where it can go. Acuity will manage daily reports, intake and payment functions in a swift and systematic way which will help improve the company's profitably. Accounting doesn't have to be a confusing and tedious task. With the proper accounting, the interpretation of operations and finances can provide better business decisions and help move your brokerage to the next level of success!

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Accounting & Reporting includes:

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Receive, document, pay, organize and store all office bills, dues, fees, payments, statements
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- Rent, phones, internet, copier, supplies, professional bills, licensure, insurance
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Receive document and pay all agent commissions, referrals, and fees ( copies etc…)
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Record and cut all checks and payments:  Payroll, Commissions, owner draws, etc…
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Record and document all deposits, closing and checks into the proper accounts
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Produce Biweekly Financial reports for the Broker


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End of year tax data collection and reporting to CPA
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End of year 1099s and agent documentation
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Monthly reconciliation of accounts
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Financial Planning and cost comparison
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Ordering of Accounting supplies, stamps, checks, slips…
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Researching and rectifying fraudulent or erroneous charges on any account
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Keep detailed records of EVERYTHING!  Usually paperless or scanned and filed



FULL LIST OF SERVICES