Reports to the Board of Directors
Each month the Board of Directors may receive an information package that includes reports from each of the modules listed above, including the monthly financials that includes the balance sheet with bank balances and capital reserve items, income & expense report with budget comparisons by month and year to date, capital reserve report showing the addition of funds and expenditures on a monthly and year to day basis, account status of each member, delinquency aging report, check and accounting information relating to paid bills, reconciled bank statements. Other reports are available based on the needs of each community. Reports are available for distribution by US Mail, through e-mail exhibits and facsimile.
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