Simplify Real Estate Syndicate Investments
Streamline your real estate syndicate process with an all-in-one SPV platform tailored to meet the needs of investment groups.
From legal formation to complete administrative support, Flow manages the details so you can focus on closing deals and growing your portfolio.
From legal formation to complete administrative support, Flow manages the details so you can focus on closing deals and growing your portfolio.
- Legal Formation: Get access to essential legal documents like LPAs, operating agreements, and subscription agreements, customized for real estate syndicates. Use our templates or integrate your own documents seamlessly.
- Digital LP Onboarding: We'll create a digital onboarding process tailored to your investment requirements, allowing investors to complete their subscription in 20 minutes or less. Minimize friction, maximize participation.
- White-Labeled Investor Portal: Offer your investors a secure, branded portal where they can review documents, track investment performance, and receive updates—all in one place, complete your branding.
- End-to-End SPV Administration: From entity formation to ongoing administration, tax filings, and reporting, our platform covers every aspect of SPV management. Prefer to use your own fund administrator? No problem—our platform is open to all third-party service providers.
- Built for Scale: Whether you manage a single syndicate or hundreds, our scalable platform ensures you can handle any number of SPVs without adding complexity to your operations. Focus on expanding your portfolio with confidence.
Book a Demo







Accelerate your fundraise with virtual data rooms
Securely share sensitive information with prospective investors, capture one-click NDAs, and track all document activity.

Simplify investor onboarding with digital workflows
Turn confusing legal documents into intuitive onboarding workflows that help you fundraise faster, at lower cost.

Streamline fund operations
with an investor portal
with an investor portal
Provide all stakeholders with a single point of access for fund-related reporting, documentation, and communications.