I build a pipeline that reads commercial leases and pulls out the CAM/NNN recovery rules — share, caps, gross-up, exclusions — with a quote and page number under every field, then runs the year-end reconciliation from the owner's expense export. Testing it on public SEC leases now; no clients yet. I'm here to learn from people who do reconciliations for real and to check my output against theirs. Based in Minsk, working US hours over email.
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