Originally developed for personal use (I'm an active house manager myself), this program can help condominium managers and/or treasurers (EU) in allocating monthly obligations, cash reporting and house book entry.
Corresponds to the principles laid down in the Law on Condominium Ownership (Condominium Ownership Law).
It reports and distributes to the penny the actual costs for overheads and the deductions for the "Reconstruction and renovation" fund (FRO).
Generates a monthly statement of current liabilities and balance for each EU facility.
If you have a Datecs DPP-xxx mobile printer, you can also print a receipt receipt.
It does not require the Internet and does not work with cloud or other remote resources.