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  Asset Management > Program Compliance Accounting


> HOME / MHDC Accounting


MHDCs Asset Management Department is responsible for promoting the financial health of participating properties by monitoring and enforcing the compliance of program requirements as outlined in the Regulatory Agreement for the HOME and/or MHDC Fund Balance properties.  The sections identified below will provide further details regarding MHDCs policies and procedures.  Each section will include instructions, required forms, frequently asked questions, and explanation of MHDC policy.


bullet Annual Financial Statements
bullet Budgets
bullet Insurance Requirements
bullet Occupancy Submissions
bullet Operating Reserves
bullet Owner Distributions/Surplus Cash/Residual Receipts
bullet Rent Increases
bullet Reserves for Replacements
bullet TCAP/TCR 1602 Exchange Properties
bullet Utility Allowances
bullet Management Fees  11-06-2020


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