Strategic management
REAL ESTATE DEVELOPER
A complete offer for the management of your real estate projects.
Simulate your real estate projects, right from the land prospecting phase, and make your decision making easier.
From the feasibility study to the detailed financing of the operation, you build and refine your project over time.
By modulating the different assumptions, you can also get a view of your projected cash flow.
From the price grid, you simply manage your buyer files by determining their status: reservation, sale, modifying work, etc. and thus have at all times accurate and reliable information.
Cash calls are generated automatically, ensuring a quick and efficient processing of a repetitive task and a simple way to maximize your cash flow.
You can easily make your price grids available thanks to our APIs.
The Gantt schedule of your operations integrates all of your key dates as well as the impact of commercial and work phases.
The comparison of schedules allows a graphical visualization of delays.
The schedule allows you to follow the evolution of your project and the impact in cash.
Define your benchmark and compare it to the updated budget for a better understanding of the evolution of the margin.
All contracts and invoices are entered, allowing you to access detailed expenditure control.
Automated calculation of sureties, guarantees… allows you to control the presence of errors in the received invoices.
You automatically generate the accounting entries and easily prepare your accounting statements.
With a few clicks, you have all the key indicators and key ratios of your business for strategic and operational management of your activity.
You perform cash simulations based on your technical and business parameters.
You have always your exact cash position . You activate your bank overdrafts, credit lines and thus master the impact of your cash transactions.
Financial expenses, agios, interest… are calculated for simplified control with your bank’s calls.
By consolidating your projects, you get a short, medium and long term vision representing the sum of all the cash assumptions.