Back Office Solutions for SBRE Entrepreneurs

Fairway America is committed to providing entrepreneurs a complete suite of services that allow them to focus on real estate.

Fairway America is committed to providing entrepreneurs a complete suite of services that allow them to focus on real estate.

For most SBRE entrepreneurs, the investor onboarding, accounting and reporting is not their favorite part of running an SBRE business and they would rather focus on deals. Fairway’s affiliated companies, Redwood Real Estate Administration and Marko Technologies, were created by SBRE entrepreneurs, for SBRE entrepreneurs, to let them do just that!

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Technology

Marko has been architected and designed to streamline the entire investment process from start to finish and all points in between.

  • Promote and enhance your brand with a white labeled investor portal, which includes vanity URL on your own domain and brand
  • Support for all investment account types: individuals, joint accounts, entities, trusts, retirement, brokerage
  • Go from pledge to signed subscription documents in less than five minutes using electronic signatures with investor data auto filled and branded communications
  • Supports multiple share classes, secured note offerings, tracking preferred return or interest due, allowing multiple security types per offering, exchanging securities, and fluctuating share price
  • Compliance without the headache, including accreditation verification, AML, OFAC, and KYC
  • Five-step proven onboarding process
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Administration

The third-party fund administration firm focused exclusively on accounting services for non-institutional sized, real estate asset-based funds, syndications, and managers.

  • Recording and tracking all monthly transactions provided by property managers, loan servicers and fund managers
  • Maintaining investment schedules, recording investment transactions, and updating accounting records for all relevant events
  • Calculating all income and expenses, and maintaining appropriate accrual schedules
  • Recording all necessary activity to capture acquisitions, dispositions, refinances, etc.
  • Administering open and closed-ended pooled investment funds including unit price calculations, net asset value tracking, calculating distributions, etc.
  • Preparing and delivering financial reports to managers for review and delivery to investors

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