Spaces
Apps
Templates
Create
Knowledge Base
All content
Space settings
Content
Results will update as you type.
Knowledge Base index
Reapit CRM (desktop)
•
Getting started / quick guide - for sales, lettings & property management
Beta Release Notes
Release Notes index
General
Sales & Lettings/Rentals
Accounts
•
Identify internal client accounts assistant as a relationship on lettings property - configuration option
Client/Trust Accounts daily processes overview
Agent remittance
Arrears
Bank details
•
How to change your client account bank details (UK only)
•
Tenant bank details
•
Store documents against bank details
•
IBANs & SWIFT code entry provision
•
International payments - update
Configuration options (bank details)
BACS/ABA Run
Bank Reconciliation
Corrections
Credit notes
Deposits/Bond
Direct Debit
End of Financial Year (EOFY)
Fees (accounts)
Invoices
Landlord float
Landlord payments
Landlords
Landlord statements
Landlord tax
Ledgers/transactions
Opening balances
Receipts
Refunds
Reimbursements
Renewals/Rent and fee charges
Rent Guarantee
Rent Insurance
Reporting (accounts)
Split commission
Suppliers
Tenants
•
Trust Accounts frequently asked questions (APAC only)
Block Management
Reapit Go
PayProp
Reapit Bookings / Inspect Real Estate (IRE)
AppMarket
MyAgency app
Third party integrations
Other Reapit products
Reapit Academy webinar/classroom course accompanying guides
Reapit announcements, updates & information
Blogs
Knowledge Base
/
/
Accounts
/
Bank details
Summarize
Bank details
Fiona Hardy
Owned by
Fiona Hardy
Last updated:
Jul 18, 2022
1 min read
Loading data...
{"serverDuration": 38, "requestCorrelationId": "daad6ca4a64844f387b67069f41400a9"}