When do I receive my equity distribution?
Equity distributions are made on the last business day of each month. Net proceeds, less reserve, are directly deposited into our client’s accounts on that day through an electronic ACH transfer. Monthly statements are also e-mailed no later than the 6th business day the following month. Should there have been any invoices paid during the reporting period, the scanned invoices are available upon request via email, please simply ask your property manager. Download ACH authorization form.
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