
With Clearing, property managers can automate the reconciliation of bank deposits by reservation, manage expenses through powerful AI-based categorization, and generate clean owner, management, and cohost financial statements. The platform intelligently pulls in transactions, receipts, and invoices, allocates them accurately, and streamlines reconciliation—eliminating the need for manual spreadsheets.
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California, USA
About Clearing
Clearing also supports complete payment workflows with built-in portals and ACH capabilities (standard, same-day, and next-day) to pay owners and vendors. Designed to maintain true trust accounting, funds are tracked by property, category, and stakeholder, with robust reporting for distributions to owners, managers, tax authorities, and more. Role-based access ensures accountants, bookkeepers, and homeowners can securely view the financial data relevant to them—maintaining transparency without compromising control. Owners can be invited to access their own portal to review financial statements, reservations and reporting. Vendors can also be invited to their own portal to create and submit invoices to pay.
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