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Suites that fit the work

One system for your whole real estate business.

Property management, agency sales, and development projects each have their own records and steps. RealtyKeeping keeps those workflows separate and sends their accounting into one foundation.

Review group totals without forcing every team into one workflow.

Property Management

High-volume lease administration, rent roll visibility, tenant records, arrears, collections, maintenance, and landlord reporting.

For managers responsible for occupancy, rent, maintenance, and owner confidence.

Explore Management

Agency

Structured pipeline movement for listings, leads, inspections, offers, deals, commissions, and client follow-up.

For agencies that need reliable deal movement from enquiry to close.

Explore Agency

Developer

Units, buyers, contracts and payment milestones, plus construction project management: bills of quantities, quantity take-off, site inspections, defects, handovers, and project roles for contractors and consultants.

For developers selling units while managing delivery obligations.

Explore Developer

Group

A consolidated view of finance, reports and eliminations across suites and companies, with HR and payroll available as an add-on.

For businesses where property, agency, and development operations overlap.

Explore Group
Platform capabilities

Work from records, controls, and finance.

RealtyKeeping keeps property records, deal work, projects, and accounting connected for Nigerian real estate teams.

Traceable records

Critical actions create traceable records operators can review.

Connected accounting

Operational events connect to accounting instead of living in a spreadsheet afterthought.

Controlled access

Access, approvals, demo preparation, and trial provisioning stay governed.

Operating detail

Review the records, controls, and financial workflows your team uses to run property, agency, and development work.

Operational records

Every enquiry, inspection, offer, contract, billing, collection, milestone, and handover remains tied to a clear record.

Accounts and tax

Chart of accounts, journals, vouchers, ledgers, bank reconciliation, VAT, withholding tax, and period controls sit inside the operating flow.

Multi-company and group

Run more than one company and review consolidated finance with suite context and elimination workflows.

Approvals and access control

Role-based access, maker-checker controls, and clearer accountability for sensitive operations.

Documents and audit trail

Print-ready invoices, receipts and statements, with notes, status history and an audit trail kept on the record itself.

HR and payroll

Staff records and monthly payroll, with PAYE, pension and NHF schedules posted to the ledger.

Construction projects

Bills of quantities, quantity take-off, site inspections, defects and handovers, with project roles for contractors and consultants.

Local market fit

Naira-first workflows, Nigerian states and LGAs, local property realities, and payment patterns considered from the start.

Each suite is priced on its own, with a saving when you combine them.

See pricing