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Enumerate CentralEnumerate

An accounting platform built for community associations, supporting fund accounting, financial reporting, and day‑to‑day financial operations.

Vendor

Vendor

Enumerate

Company Website

Company Website

Product details

Enumerate Accounting is a financial management solution designed specifically for community associations such as homeowners and condominium associations. It focuses on the unique accounting requirements of association management, including fund accounting, assessments, budgeting, and compliance‑driven reporting. The platform provides tools to manage general ledger activity, accounts payable and receivable, and financial statements in a structured and auditable manner. It is intended to support both self‑managed associations and professional management companies that handle multiple properties. Enumerate Accounting operates as part of a broader association management ecosystem, enabling financial data to align closely with resident records, properties, and operational workflows.

Key Features

Fund Accounting

Supports association‑specific accounting models.

  • Multiple funds and reserves
  • Clear separation of operating and reserve funds

General Ledger Management

Manages core accounting records.

  • Chart of accounts tailored to associations
  • Transaction tracking and journal entries

Accounts Receivable

Handles homeowner assessments and charges.

  • Assessment billing and posting
  • Payment tracking and balances

Accounts Payable

Manages vendor payments.

  • Invoice processing
  • Check and electronic payment support

Financial Reporting

Produces required financial statements.

  • Balance sheets and income statements
  • Budget and variance reports

Benefits

Regulatory Alignment

Supports association reporting needs.

  • Structured financial records
  • Audit‑ready reporting

Operational Accuracy

Reduces accounting errors.

  • Purpose‑built accounting workflows
  • Clear fund separation

Efficiency for Managers

Simplifies financial operations.

  • Centralized accounting functions
  • Reduced manual reconciliation

Scalability

Supports multiple communities.

  • Designed for management companies
  • Consistent accounting across properties

Financial Transparency

Improves visibility for stakeholders.

  • Clear reporting for boards
  • Reliable financial data access
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