Streamline processing and payment of contributions and distributions via waterfalls to better serve your investors.
Track and drill down from the investor level all the way to the property level of your fund.
Real estate investment funds, joint ventures, REITs and others can reduce errors, save time and ensure auditability while keeping key investors informed.
Secure, configurable reporting
Keep your real estate investors satisfied and informed with tailorable, timely and accurate investor reports.
Improve real estate accounting accuracy and investor reporting
Real estate organisations with complex investment structures spend large amounts of time setting up funds, consolidating financial statements and reporting to investors. MRI's property Investment Accounting software automates these manual tasks, reducing months-long processes into a few hours or less. Built on top of MRI Platform X, Investment Accounting can pull your MRI property management data and financials to accurately streamline your accounting. Easily create financial statements, process contributions and pay distributions, and deliver up-to-date reporting to internal and external stakeholders. Your staff can save significant time setting up new investments and tracking down ownership structures without having to search through stacks of paper.
Reduce manual errors and save time with automated consolidated financials.
Ensure auditability with drilldown features from investor level to property level.
Keep key investors informed with tailored, up-to-date reporting which can be published to the investor portal.
Automate waterfalls to streamline the processing and payment of contributions/distributions.
Supports multiple organisation types, including funds, joint ventures, REITs and more.
Deliver up-to-date reporting for internal and external stakeholder in minutes, not days.