Clear entity, property and portfolio reporting for owners and lenders.
Northlen supports real estate investors and operators that need disciplined multi-entity accounting, property and portfolio reporting, cash visibility, debt and lender schedules, acquisition integration and scalable finance processes.
Common finance pressure points
- Multiple entities create reconciliation and intercompany complexity
- Property and corporate reporting are disconnected
- Debt, escrow and lender schedules are manually maintained
- Acquisitions stress the close and reporting process
- Ownership needs portfolio-level visibility
How Northlen can help
- Entity and intercompany accounting
- Property and portfolio reporting
- Debt, escrow and cash-flow schedules
- Budget and capital planning
- Acquisition accounting and integration
- Lender reporting support
- Investor and ownership reporting
- Finance transformation
We assess the accounting foundation, reporting needs, operating complexity and growth plans first, then determine the appropriate Accounting, Controller, CFO, Tax, Transaction Advisory or Finance Transformation support.
Finance support for real estate investors & operators.
Northlen can combine accounting execution, Controller-level ownership and forward-looking financial leadership based on the needs and complexity of the business.
Accounting
Reliable books, reconciliations, close support and financial statements for growing businesses.
Starting at $750/month
Explore service →Northlen ServiceAccounting & Controller
Controller-level ownership of close, controls, reporting, working capital and management visibility.
Starting at $1,500/month
Explore service →Northlen ServiceFractional CFO
Executive financial leadership focused on cash, forecasting, profitability, capital and strategic decisions.
Starting at $3,000/month
Explore service →Practical finance guidance for real estate investors & operators.
Explore Northlen perspectives on the accounting, cash-flow, reporting and finance challenges common in this industry.
Real Estate Controller: What Does the Role Actually Own?
How a real estate Controller manages entities, property reporting, debt schedules, close, controls and ownership reporting.
Read insight →Real Estate & Multi-Entity Finance · 9 min readReal Estate Accounting: Entity-Level vs. Property-Level vs. Portfolio Reporting
How different reporting levels answer different questions for owners, operators, lenders and investors.
Read insight →Real Estate & Multi-Entity Finance · 9 min readReal Estate Portfolio Reporting: What Owners and Lenders Need to See
A practical reporting package for property performance, debt, liquidity, capital needs and portfolio-level decisions.
Read insight →