Support for Treasurers
Finance-focused walkthroughs covering levy schedules, arrears management, budget reconciliation, and financial reporting for your strata scheme.
Priority Workflows
Issuing Levy Notices
Generate and distribute quarterly levy notices to all lot owners in minutes.
Managing Levy Arrears
Track outstanding balances, configure interest accrual, and set up payment plans.
Financial Reporting
Generate income and expenditure statements and balance sheet summaries.
Recommended Reading
Issue your first levy notice
End-to-end walkthrough: levy schedule setup, lot calculations, and notice delivery.
Read Full ArticleManage levy arrears
How outstanding amounts are calculated, interest accrual, payment plans, and write-offs.
Read Full ArticleArrears notices, penalties & legal escalation
How StrataBuddy automatically sends reminder and legal notices, how to apply a penalty, and how to advance a debt through the escalation workflow.
Read Full ArticleSetting the sum insured
How to determine the correct replacement value for a strata building and keep it up to date.
Read Full ArticleCommittee spending limit
What the committee spending limit is, how to set it, and when a resolution is required to exceed it.
Read Full ArticleSpecial levy resolutions
How to pass a special levy resolution, who must vote, and how the levy is distributed across lots.
Read Full ArticleSinking fund adequacy
What makes a sinking fund adequate, the 10-year plan requirement, and how AppInfo.Name flags shortfalls.
Read Full ArticleCapital works plan
Creating and maintaining the 10-year capital works plan and linking it to the sinking fund.
Read Full ArticleFinancial statements
Reading the income and expenditure statement, balance sheet, and levy arrears report in StrataBuddy.
Read Full ArticleLegal Resources
- NSW SSMA 2015 — Levy provisions open_in_new
- QLD BCCM Act — Financial management open_in_new
- ATO — Strata title bodies (tax) open_in_new
Need clarification on a specific legislative clause?
Ask a Consultant