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Inventories In AND Out

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cat-blue
cat-blue
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Quick question.
Do you normally do a separate out-going tenant inventory AND a new in-going tenant inventory check? I can see why you might if there was any time at all between the 2 events (meter readings, check actual condition at check-in). But on the other hand, seems like doubling up on very nearly (likely) identical checks.
TIA!

25/09/2019 22:47

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