Professional sales trust accounting

We take the hassle away from the burdensome responsibilities associated with managing a sales and rental trust account.

Our trained sales and rental trust accounting teams only focuses on agency trust accounting. We provide a top-notch service from daily receipting, settlements, daily reconciliation, ledger balancing, tenant invoicing, settlements, owner disbursements, bond processing, end-of-month and mid-month processing – you name it.

Being specialists, we get the work done faster and more compliantly - this team knows the laws and will keep you compliant. You can focus on real estate, whilst we manage your trust accounts.

If you are new to agency, we will assist you in setting up a trust account in accordance with the legal requirements of the state or territory. All OFT matters are handled by us.

Setting up a trust account

We manage our work each day and this eliminates one big job from your list of things to do.

Daily receipting and reconciliation

We will keep your trust account in a way that allows an easy audit process. We will assist the auditor with information necessary for the audit and help resolve queries.

Audit assurance

Compliant sales trust accounting

Meet Carla.

Taking over the management of your sales trust accounting takes her one day, perhaps two days at the most and there is a smooth handover process.

RE Sales Trust team understands NSW, QLD and VIC state legislations intricately and they also know how to use key industry CRM’s such as VaultRE, AgentBox, REX, Box+Dice, Eagle Software, Property Tree, Property Me and Console Cloud.

We handle receipting and property settlements daily and co-ordinate closely with the auditors.

Compliance, audit and OFT worries start to become a thing of the past.

Carla

Head of Sales Trust Accounting


Industry systems used by RE Solutions


Real estate is our sole focus.

Our clients are agencies operating within Australia’s foremost franchised brands and independent agencies.