A clean ledger for every property.
A named team — led by US- and UK-trained CPAs — that keeps books per entity, depreciation on schedule, and investor distributions clear across the whole portfolio.
Portfolio-wide clarity, property by property.
Real estate lives or dies on entity-level detail — one ledger per property, depreciation that's right, distributions that reconcile. We keep each entity clean and roll them up when you need the whole picture.
Scope a real-estate engagement- Entity-per-property bookkeeping
- Depreciation & cost-segregation support
- CAM (common-area maintenance) reconciliations
- Investor & partner distribution tracking
- 1031 exchange tracking
- Tenant, lease & rent-roll ledger
- Mortgage & escrow reconciliation
- Multi-entity consolidations
- Yardi · AppFolio · QuickBooks
- K-1 & investor reporting support
Built for portfolios, not just properties.
Entity-level clarity
A clean set of books per property or fund, consolidated when you need the whole view.
Depreciation done right
Schedules and cost-seg support that protect your basis and your returns.
Investor-ready
Distributions, K-1 support and quarterly reporting your LPs can trust.
Scales with the portfolio
Add a property or an entity without re-building the whole ledger.
Hand us the ledger. Keep the portfolio moving.
Tell us your entity structure and platform — we'll propose a team and a quote, usually within 48 hours.
Start a brief