What we deliver

Every aspect of the property-development financial model — restructured into a connected workspace that updates in real time.

Project Feasibility

Capture acquisition, development and financing costs. Apply VAT and contingency. Stress-test with automatic 5% and 10% revenue downside scenarios.

Sales Tracking

One row per unit — apartments, garages, parking. Track buyers, agents, notaries, deposits, POSA, contracts and Appalt dates with full audit history.

Payments Ledger

Log every disbursement against acquisition, construction and finishing. See bank-financed vs own-funds split at a glance across any time range.

Project Cash Budget

Month-by-month cash-flow projection driven by sales dates and development-cost spread. Add manual adjustments where needed.

Portfolio Overview

Each client and company gets an automatic roll-up across every project they participate in — total exposure, revenue and equity return in one view.

Scenario Analysis

Run revenue and cost stress scenarios across any project. Understand your margin of safety and IRR before committing capital.