Skip to main content

--- Core Infrastructure ---

The Foundation Every Enterprise Needs

Four integrated solutions that connect your systems, automate reconciliation, control payments, and deliver visibility across your entire real estate operation.

Explore Solutions

What Is Real Estate Infrastructure Software?

Real estate infrastructure software provides the foundational technology layer that enables property management companies, asset managers, and real estate enterprises to connect disparate systems, automate financial processes, manage cash flow, and gain operational visibility. KriyaGo's Core Infrastructure suite addresses these fundamental needs through four purpose-built solutions,

KriyaSync

---   Connect Everything   ---

A universal integration hub that seamlessly connects all your disparate systems. KriyaSync eliminates data silos by creating bidirectional connections between property management systems, accounting platforms, banking institutions, and operational tools.

Multi-system connectivity

Bidirectional data sync

API orchestration

Real-time data flow

Error handling & logging

What systems does KriyaSync integrate with?

KriyaSync connects property management platforms such as Yardi and MRI Software with banking systems, accounting tools, and operational applications used across real estate enterprises.

How does KriyaSync handle data synchronization?

KriyaSync uses bidirectional synchronization to ensure data consistency across all connected systems, with automated error detection and resolution workflows.

KriyaBalance

---   Reconcile Everything   ---

An automated financial reconciliation engine ensuring accuracy across operations. KriyaBalance matches transactions across bank accounts, property management systems, and accounting platforms, identifying discrepancies and streamlining the close process.

Automated transaction matching

Multi-entity reconciliation

Exception management

Audit trail documentation

Close process automation

What types of Reconciliation does KriyaBalance Automate?

KriyaBalance automates bank-to-book reconciliation, intercompany reconciliation, tenant ledger reconciliation, and trust account reconciliation for real estate portfolios.

How does KriyaBalance handle Reconciliation Exceptions?

KriyaBalance flags unmatched transactions and discrepancies through automated exception workflows, routing items for review while maintaining complete audit documentation.

KriyaCash

---   Control Everything   ---

Complete payment and cash management control with real-time visibility. KriyaCash provides centralized oversight of accounts payable, accounts receivable, and treasury operations across your entire portfolio.

Payment processing

Cash position visibility

Treasury management

Approval workflows

Bank connectivity

What payment functions does KriyaCash manage?

KriyaCash handles vendor payments, owner distributions, intercompany transfers, and tenant collection management with configurable approval workflows and bank integrations

How does KriyaCash provide cash visibility?

KriyaCash aggregates real-time balance information across all connected bank accounts, providing consolidated cash position reporting and forecasting capabilities.

KriyaVision

---   See Everything   ---

Comprehensive dashboards transforming data into actionable insights. KriyaVision consolidates information from across your technology stack into unified views that enable data-driven decision making at every level of your organization.

Executive dashboards

Operational reporting

Custom visualizations

Cross-system analytics

Automated report distribution

What data sources does KriyaVision connect to?

KriyaVision pulls data from property management systems, accounting platforms, banking systems, and other operational tools connected through KriyaSync to create unified dashboards

What types of reports does KriyaVision provide?

KriyaVision delivers executive summaries, property performance dashboards, financial analytics, operational KPIs, and custom reports tailored to stakeholder needs.

Why Does Real Estate Need Dedicated Infrastructure?

Real estate operations involve complex financial workflows, multiple stakeholders, and diverse technology systems that require purpose-built infrastructure to function efficiently.

Eliminate Manual Data Entry

Automated integrations remove the need to manually transfer information between systems, reducing errors and freeing staff for higher-value work.

Accelerate Financial Close

Automated reconciliation and connected systems enable faster month-end and year-end close processes with improved accuracy.

Gain Operational Visibility

Consolidated dashboards provide real-time insight into portfolio performance, cash positions, and operational metrics across your entire organization.

Scale Without Adding Headcount

Automation and integration enable growing portfolios without proportionally increasing back-office staff requirements.