eManageSuite™ FAQ's

Selecting the right management company is a daunting task. To help you get to know us a bit better, we've assembled the answers to some of the most common…and the most thoughtful questions that we have encountered. We hope the answers are insightful to you in your search.

Home Owner Website

  • What is the url or address of our association's website?
  • Are we charged any fees for online storage of files?
  • How do owners register for access to the site?
  • Can we define what is shown on the home page of the website?

Account Ledger Management

  • Can we make changes to the website?
  • How are the ledgers created for each owner when we sign up for eManageSuite?
  • How are the monthly assessment charges applied to each owner's ledger?
  • ow do you handle special assessments?
  • How do you handle fines or penalties that need to be charged to an owner?
  • How are late fees handled?
  • How can an owner review their ledger for accuracy or to confirm the receipt of a payment?
  • In what order are payments applied towards charges on an owner's ledger?
  • Will the ledger show the difference between a check payment and an E-Payment?
  • Will the ledger show the type of each charge to distinguish assessment fees from other types of charges?
  • Can the board review a particular owner's ledger if required?
  • How do you keep up with changes in ownership to ensure the billing is accurate?

E-Payments

  • Are owners charged any fees for making an E-payment?
  • How long does it take for the funds from an E-payment to arrive in the association's bank account?
  • What Debit or Credit Cards are accepted?
  • Do you accept payment by phone?

Check Processing

  • How long does it take for the funds from a processed check to arrive in the association's bank account?
  • Does your staff take checks received from our owners to a local bank for processing?
  • How are disputes or issues related to check payments handled?
  • Do our owners make checks payable to your company?
  • How does your team know that a check should be deposited into our bank account and not that of another client?
  • How are cases of Insufficient Funds, or NSF, handled by your system?
  • Are owners charged a fee for payments that are returned due to insufficient funds?
  • How can the board obtain a copy of a check that was sent by an owner?

Board Member Support

  • Who should the Board call when they have questions about the eManageSuite system, an invoice, a homeowner, a violation, etc?
  • How do we learn how to use eManageSuite?

Violation Processing

  • How are violations handled?
  • How do we levy a fine on a homeowner for non-compliance?