For Owner-operators
Your portfolio should answer like one business.
For CRE owner-operators whose property, lease, debt, operating, and investor data has outgrown the spreadsheet joining it together.
This is probably familiar.
- The model and the property system disagree at the worst possible moment.
- Lease and debt questions start with a request to three departments.
- A point-in-time answer changes depending on when each export ran.
- Portfolio reporting still depends on manual copy and paste.
What changes when the work has an owner
- Trust one point-in-time answer across the portfolio.
- Surface conflicts before they reach the owner report.
- Watch lease and debt events without rebuilding a workbook.
- Preserve the source and effective date behind every answer.
The work we put on the system
Typical sources: Property management, Lease abstracts, Debt schedules, Models, Bank feeds, Owner reports.
Start with one workflow