Every Property. Every Transaction. Perfectly Accounted For.
Offshore accounting teams built for real estate investors, property managers, and developers — from single-family portfolios to commercial developments.
Get a Free ConsultationReal Estate Accounting Challenges We Solve
Multi-Property Tracking
Each property is a separate profit centre. Tracking income, expenses, and cash flow across dozens of properties without dedicated support leads to errors and missed insights.
Tenant Billing & Collections
Monthly rent invoicing, late fee tracking, security deposit reconciliation, and collections follow-up across a portfolio is highly labour-intensive.
Investor Reporting
Real estate investors expect regular, transparent financials — property-level P&L, equity tracking, and distribution summaries formatted for their review.
Mortgage & Escrow Reconciliation
Loan payments, property tax escrows, and HOA fees all need to be reconciled against each property account accurately every month.
Real Estate Accounting Services
Property-Level Bookkeeping
Separate income and expense tracking for each property, with consolidated roll-up reporting for the portfolio.
Tenant AR Management
Rent invoicing, payment recording, late fee tracking, and collections follow-up across your entire portfolio.
Vendor AP & Maintenance Costs
Contractor bill processing, repairs, utilities, and property management fee payments handled on time.
Investor Reporting Packages
Monthly or quarterly investor-ready reports including property P&L, equity statements, and distribution summaries.
Budgeting & Forecasting
Annual property budgets, vacancy assumptions, capex planning, and cash-on-cash return projections.
Year-End & Tax Support
Depreciation schedules, mortgage interest reconciliations, and tax-ready packages coordinated with your CPA.
Built for Real Estate Portfolios
Whether you manage 5 properties or 500, our offshore team scales with your portfolio.
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