LOGIA SYNDIC BENEVOLE 5h123
- Demo
Handling of current operations -Management of buildings, co-owners and lots ( details, description, etc.)) – Forecast budget – Calls for funds from the budget and calls for funds outside the budget (e.g. calls for works) – Allocation of actual expenses with automatic regularization compared to calls for funds – Restart of unpaid bills – Building maintenance logbook – Attendance sheet for general meetings per building – General meeting attendance sheet per building – Coordinates of stakeholders per building (caretaker, maintenance of green spaces, elevator etc…..) -Management of schedules by the calendar ing processing -Banking, and remittance slip -Entry of invoices by building -Bank reconciliation -Consultation of s -Grand-livre, balance and newspapers – Journal of funds held by each of the co-owners – Cash flow situation – Statement of debts and receivables Office automation – Publishers of directors’ fees per co-owner – Publishers’ publications – Personalised letters by merge/publication – Export of documents in Word – Direct link with Internet to send your documents by Email -Save the software -Calculation of monthly repayment instalments as part of a loan
Rédigé par : The Logithèque Editorial Board
