Our services and solutions
Porcelain Partners strives to be the trusted leader in providing accretive accounting and bookkeeping solutions for the real estate industry.
Commitment
Your business goals
are our top priority
Crafting precise financial roadmaps aligned with your business objectives.
Accounting & Financial Reporting
- Monthly Financial & Investor Reporting Packages: Ensure transparency and clarity with detailed reports tailored to your stakeholders.
- Budget & Cash Flow Preparation: Plan effectively and maintain financial stability with precise budgeting and cash flow management.
- Accounts Payable (AP) & Accounts Receivable (AR) Management: Streamline your payables and receivables to enhance cash flow efficiency.
- Lender Reporting and Compliance Testing: Stay compliant and meet lender requirements with accurate and timely reporting.
- Tax Package Preparation for External CPAs and 1099s: Simplify tax preparation and ensure compliance with expertly compiled tax packages.

Accounting Department Design
- Organizational Review for Efficiency: Analyze existing structures to identify inefficiencies and streamline accounting processes.
- Custom Role & Responsibility Frameworks: Design department roles tailored to your real estate portfolio's unique characteristics.
- Best Practices Development: Implement robust practices to ensure accountability, accuracy, and efficient workflows.
- Process Automation with Technology: Introduce tools to reduce repetitive tasks and improve profitability with faster document access.
Technology & Resource Implementation
- System Rollout and Training: Provide hands-on education and implementation of software to maximize its potential.
- Integration of Local and Virtual Teams: Seamlessly blend on-site and remote staff for enhanced productivity and collaboration.

AP/AR Accountants
- Streamlined Data Entry Support: Free your staff from high-volume, repetitive tasks.
- Accurate Vendor Management: Ensure timely, precise payments with real-time tracking.
- Optimized Cash Collections: Improve transparency and timing of cash flow to maximize liquidity.
Accounting Managers, Seniors & Staff
- Flexible Staffing for Business Cycles: Eliminate the stress of hiring, training, and managing staff.
- Enhanced Reporting Accuracy: Deliver accurate reports without overburdening your core team.
- Institutional-Level Financial Statements: Create professional-grade reports to attract investors.
- Transaction Completeness Assurance: Maintain accuracy in financial transactions.
Chief Financial Officers (CFOs)
- Scalable Financial Expertise: Access to skilled financial leadership without the burden of high salary commitments.
- Strategic Executive Support: Free your leadership team to focus on growth during busy cycles.
- Insightful Financial Analysis: Gain a clear understanding of cash flow and overall financial health.
- Investor & Lender Confidence: Reinforce financial governance to assure stakeholders.y.

Software Solutions We Support
To streamline your accounting processes and enhance productivity, we support a range of industry-leading software solutions, including: