Real Estate Investor Capital & Profit Management System

Managing investor funds on spreadsheets is a recipe for disputes. Aiksol360 ERP provides a dedicated module to track Capital Injection, Profit Sharing, and Withdrawals. Give your stakeholders complete visibility into how their funds are being utilized across different projects.

Real Estate ERP Feature Image
Investor & Investment Management
Real Estate ERP Feature Image

INVESTORS

Build Trust with Transparent Capital Tracking

Whether you are managing 'Silent Investors' who provide financing for a fixed return or 'Active Partners' sharing project risk, our system automates the calculation of ROI, dividends, and capital payouts.

Investor Profiles & KYC

Maintain a digital database of your stakeholders. Store CNIC details, Next of Kin (Nominee), and banking details. The system separates 'Active Partners' from 'Silent Investors,' ensuring the correct legal structure and contact details for every deal.

Project-Wise Capital Tracking

Stop mixing funds. Track exactly which investor put money into which project. You can generate a report showing that 'Mr. Ali' has a **5 Crore Investment** in 'City Tower' but 0 in 'Green Housing,' ensuring profit distribution is calculated on the correct base.

Flexible Profit Models

Handle different investor agreements easily. The system supports both **Fixed Monthly Returns** (e.g., 2% per month on capital) and **Project Profit Sharing** (e.g., 10% of Net Profit), allowing you to manage diverse portfolios in one place.

Automated Profit Distribution

Calculate dividends in seconds. Instead of manual Excel calculations, the system applies your defined profit rate to the investor's active capital balance and generates 'Profit Vouchers' directly to their ledger.

Investor Ledger (Statement of Account)

The single source of truth. Generate professional statements showing Opening Balance, New Capital Injections, Profits Earned, and Withdrawals. This builds immense trust and reduces the daily phone calls asking 'What is my balance?'

Reinvestment & Rollover

Keep the money in the company. If an investor wants to use their profit to book a new file or invest in a new project, the system handles the 'Internal Transfer' seamlessly without requiring a cash payout.

FAQs

Can I handle multiple investors for one project?

Yes. You can have unlimited investors per project. The system tracks each person's specific investment amount and calculates their specific profit portion automatically when dividends are declared.

How do I adjust a File against Investor Profit?

Many developers pay investors in 'Files' instead of cash. Our system allows you to 'Adjust' a profit voucher against a 'New Booking,' effectively selling a file to the investor using their own profit balance.

Does the system calculate tax on profits?

Yes. When issuing a profit payment, you have the option to manually apply a tax deduction (WHT). The system handles the transactional effect perfectly, posting the net amount to the investor and the tax portion to the government liability ledger.

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