Tribocon is a well-established real estate services company that has been operating for eighteen years. We have built strong relationships with over 120 commercial and residential real estate developers, funds, and property management companies in the USA, Canada, and the UK. Our extensive knowledge in real estate accounting, financial analysis, financial statement preparation, lease administration, and asset management has proven invaluable to our clients, resulting in a significant reduction of associated costs by 40–50%. Currently, we offer these exceptional services to a diverse portfolio of 2600 units across our client base. With a senior management team boasting a combined 10 years of outsourcing experience, we are well-equipped to meet the needs of our clients.
Since 2006, Tribocon has been one of the leading and specialised accounting outsourcing service providers in operations. We have served over 300+ companies in the United States, Canada, United Kingdom, Middle East and Singapore. Our experienced and qualified accountants for different accounting departments have a proven track record in QuickBooks (US), Xero (UK), NetSuite (US), Yardi (Yardia), Sage (UK), Microsoft Dynamics (US), Appfolio (AppFolio), SAP (US), and Oracle ERP (ERP) packages. We serve clients in real estate, CPA firm, logistics, retail, IT, etc.
Bookkeeping and detailing services.
Our group will provide you with administrations that offer assistance in keeping control over your nearby bookkeeping commitments, guaranteeing compliance with all directions, benchmarks, and detailing necessities. We bring the involvement, usefulness and benefits required of a committed bookkeeping service provider.
Our bookkeeping, detailing and charge compliance administrations can cover:
Complete bookkeeping and month-to-month reporting service.
Regular client communication (including meetings, phone calls, conference calls, and standard e-mail communication).
Access to the online portal for the exchange of documents.
- Procurement support
- VAT statement submissions
- Preparation of payments to suppliers.
- Preparation of Statutory Accounts
- Preparation and presentation of the Yearly Corporate Assessment Return
- Submission of confirmation statement
- Balance Sheet Reconciliations