Establish and maintain the trust account with Macquarie Bank. Each strata scheme that we manage has their own individual trust account with the potential to earn interest.
Issue levy notices.
Pay invoices on behalf of the Owners Corporation.
Provides accounts and records for audits – if required.
Provide statutory reconciled accounts.
Prepare Administrative Fund budget and arrange Sinking Fund budget.
Manage Administrative and Sinking Fund.
Investment income – we can provide a few investment options, such as at-call accounts and term deposits with Macquarie Bank