Property registration consultant platform
Every property file.
Every rupee. Accounted for.
Manage registrations, client collections, government disbursements, 500+ builders, 100,000+ flats, 20+ bank accounts, loans, expenses, agents and reports from one secure workspace.

One connected office ledger
Daily operations and finance, working together.
Each module shares the same live records, so collections, payments and balances remain traceable from the property file through to the final report.
Operational dashboard
See total bank balance, today’s collections and disbursements, monthly expenses, active loans and recent financial activity at a glance.
Property registration
Record individual or group files, client details, multiple payment instalments, itemized collections, registration debits and receipt attachments.
Bank accounts & statements
Maintain account-wise statements with running balances, filters and internal fund transfers across business bank accounts.
Group & society management
Track developer advances, property-wise disbursements and the live remaining balance of every group or society.
Loans & advances
Record payouts and repayments, view borrower ledgers and automatically close loans when the full amount is recovered.
Office expense manager
Categorize everyday operating expenses, reconcile each payment to its bank account and search records by date.
Agent & broker tracker
Maintain broker records, property linkages, commissions, payment status, receiver bank details and performance summaries.
Difference & settlement
Identify credit and debit mismatches and settle only the exact calculated difference through a controlled refund or collection entry.
Controlled reconciliation
Know exactly where every difference comes from.
The settlement workflow flags properties where total credits and debits do not match, calculates the precise difference, and prevents an incorrect adjustment from being entered.
Property workflows
Find and manage every property file.
Search by Aadhaar, property ID or either side of a transaction, then work from the same connected property record.

Property search and transaction entry
Bank control
More than 20 accounts. One live ledger.
Move funds internally, review every account at once and drill into a statement without losing the wider financial picture.

All bank accounts and balances

Searchable individual bank statement

Internal bank contra entry
Builder-scale operations
500+ builders. 200+ flats each.
Maintain builder profiles, bulk advances, individual registrations, credit ledgers and itemized debit records at portfolio scale.

Builder and group directory

Create builder groups

Record group advances

Individual builder ledger

Group credit transactions

Itemized group debit transaction
Controls and intelligence
Everything stays traceable.
Reconcile differences, manage loans and agents, audit user activity and export ten operational and financial report types.

Difference and settlement records

Loan disbursement and repayments

Agent properties and commissions

Complete activity log

Ten connected report sections

PDF and Excel report generation
Reports & financial visibility
From a single property to the full financial position.
Filter records by account, category and date, view them on screen, or export reports to PDF and Excel for printing and analysis.
Properties master and property-wise reports
Bank and group ledger reports
Loan portfolio and repayment reports
Collection and disbursement summaries
Agent commission and expense reports
Trial balance and balance sheet
Bring every ledger together