Treasurer Hub

Support for Treasurers

Finance-focused walkthroughs covering levy schedules, arrears management, budget reconciliation, and financial reporting for your strata scheme.

Priority Workflows

Recommended Reading

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Finance & Levies

Issue your first levy notice

End-to-end walkthrough: levy schedule setup, lot calculations, and notice delivery.

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Finance & Levies

Manage levy arrears

How outstanding amounts are calculated, interest accrual, payment plans, and write-offs.

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Finance & Levies

Arrears 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.

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Compliance & Insurance

Setting the sum insured

How to determine the correct replacement value for a strata building and keep it up to date.

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Finance & Levies

Committee spending limit

What the committee spending limit is, how to set it, and when a resolution is required to exceed it.

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Finance & Levies

Special levy resolutions

How to pass a special levy resolution, who must vote, and how the levy is distributed across lots.

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Finance & Levies

Sinking fund adequacy

What makes a sinking fund adequate, the 10-year plan requirement, and how AppInfo.Name flags shortfalls.

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Finance & Levies

Capital works plan

Creating and maintaining the 10-year capital works plan and linking it to the sinking fund.

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Finance & Levies

Financial statements

Reading the income and expenditure statement, balance sheet, and levy arrears report in StrataBuddy.

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