Product
Accounting that lives with the deal
Every rent payment, rehab invoice, and closing statement posts to a real ledger the moment it happens - no export step, no month-end rebuild. Reconciliation, four-eyes close, and Schedule E included.
For Investors Accounting & books
Real accounting, built in
Books that hold up at tax time
Every deal, rent payment, and rehab dollar posts to a real double-entry ledger - reconciled, closed, and export-ready. No exporting to a separate accounting app, no rebuilding Schedule E by hand.

Double-entry ledger & trial balance
Every transaction posts to real accounts you can drill into. Property P&L and entity rollups come out of the same books, not a spreadsheet.
Reconciliation that won't close out of balance
Match the bank statement to the ledger. The reconciliation is gated on a zero difference, so the books can't quietly drift.
Month-end close with four-eyes control
Lock a period so nothing changes after the fact, and require a second approver on journal entries - the maker is never the checker.
Schedule E & depreciation, done
Per-property Schedule E worksheets and depreciation schedules generate straight from the ledger. Hand your CPA a real export, not a shoebox.
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