Designed for property investors and asset managers
Support commercial, residential, mixed use, and land portfolios with different return profiles and risk characteristics.
A comprehensive platform for managing property investment portfolios across acquisition, leasing, operations, valuation, and performance reporting. Gain a consolidated view of assets, income, costs, and risk with periodic valuation and forward looking scenarios. Built for investors, asset managers, and holding companies that need transparent performance, disciplined governance, and data driven investment decisions.
Rayterton Investment & Portfolio Management connects asset data, leases, operating costs, valuations, and financial results in one platform. Investment teams, asset managers, and finance work from the same numbers instead of reconciling multiple systems and spreadsheets.
Support commercial, residential, mixed use, and land portfolios with different return profiles and risk characteristics.
Standardise portfolio structures, KPIs, and reports while allowing asset specific assumptions, valuation methods, and return targets without heavy customisation.
Maintain a clean and structured investment baseline.
Central register of assets with location, type, ownership, and status. Provide a consistent foundation for analysis and reporting.
Track acquisition opportunities from screening to completion with assumptions, approvals, and deal history.
Manage divestment processes with transaction details, proceeds, and performance impact analysis.
Versioned assumptions, approvals, and transactions ensure full transparency and accountability.
Understand where returns are generated and eroded.
Track rental income, escalations, and vacancy impact across assets and portfolios.
Monitor operating costs by asset, category, and period. Identify cost drivers and efficiency opportunities.
Plan and track capex projects with budgets and expected return impact.
Consolidated cash flow view to support liquidity and funding decisions.
Measure value consistently and credibly.
Manage fair value and appraisal results with history and supporting assumptions.
Automated net asset value calculation with traceable inputs from income, costs, and valuations.
IRR, yield, occupancy, and total return metrics by asset and portfolio.
Controlled updates, versioning, and review for audit and investor confidence.
Look forward with confidence.
Scenario modelling for rent changes, vacancy, capex, exit timing, and market assumptions.
Medium and long term forecasts for income, costs, and portfolio value.
Identify concentration risk, vacancy exposure, and sensitivity to key assumptions.
Use scenarios to support buy, hold, or sell decisions.
Clear and consistent communication with stakeholders.
Role based dashboards with portfolio KPIs and trends.
FMR, performance packs, and regulatory reports generated from a single data source.
Trace portfolio results down to individual assets and assumptions.
Compare performance across assets, sectors, and periods.
Direct impact on investment governance and returns.
Complete and timely data supports disciplined buy, hold, and sell strategies.
Yield, costs, and vacancy are visible and actionable.
Consistent and credible reporting builds trust.
Operational, financial, and valuation data stay aligned.
Designed to fit into existing finance and property systems.
A low risk implementation focused on usable investment insight.
Share your portfolio structure, asset mix, and return targets. The Rayterton team will prepare a prototype with portfolio models, dashboards, and investor reporting so stakeholders can validate outcomes before full rollout.