

Our typical "investor" client does a little bit of everything - they buy houses with private money, fix them up, refinance, and cash flow.
These clients need help with their bookkeeping systems, understanding their accounting (Income Statements, Cash Flows), and building a full bookkeeping team to hold all parties accountable.

Asset Managers and Operators dealing in real estate have very specific bookkeeping and accounting needs.
We provide solutions for bad property management accounting, establish good financial controls separate from PMs, and offer great support to smooth out accounting knowledge gaps for General Partners.

Property managers are required to use Trust Accounting to deliver accurate information to their customers.
We help ensure no more eating property costs, no more overpaying owners due to double counting, and no more blended statements—delivering clean, easy-to-read monthly financials.
Weekly Data Entry
Weekly Qs in our Portal
Custom Processes
Efficient Systems
Monthly Quality Control
Weekly Team Trainings
Personal Experience in REI
Your Bookkeeping Guru
Monthly Meetings
Constant Followups
Personal Experience in REI
Your Accounting Translator
Join our affiliate program and earn $500 for every client you refer who signs up for monthly bookkeeping.
High conversion rate
Dedicated support
Fast payouts
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