Multi-Asset Class Specialists

Mixed Portfolio & Development Yardi Expertise

Managing residential, commercial, affordable, and development assets under one platform requires specialized Yardi configuration. BC Solutions brings the expertise to unify your diverse portfolio with consolidated reporting and job cost accounting.

Core Services

  • Mixed portfolio implementation
  • Consolidated reporting across asset classes
  • Job cost & development accounting
  • COA design & standardization
  • Ongoing support & training
The Challenge

Complex Portfolios Need Expert Configuration

Diversified operators and developers face unique challenges that single-asset-class setups don't address.

📊

Unified Reporting

Rolling up financials across residential, commercial, and affordable assets requires consistent chart of accounts and reporting hierarchies.

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Chart of Accounts Complexity

Different asset types have different GL requirements. Standardizing while maintaining flexibility is a delicate balance.

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Job Cost & Development

Development projects require job cost tracking, draw management, and budget-to-actual reporting that integrate with your operating portfolio.

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Entity Structures

Complex ownership structures, intercompany transactions, and JV accounting require careful entity setup and elimination entries.

How We Help

Mixed Portfolio Consulting Services

From implementation to optimization, we bring expertise across all aspects of multi-asset-class Yardi deployments.

Implementation for Mixed Portfolios

Full Yardi implementations designed from the ground up for organizations managing multiple asset classes.

  • Multi-database vs. single-database strategy
  • Entity and property setup
  • Asset-class-specific configuration
  • Data migration from legacy systems
  • Go-live support

Job Cost Setup

Development and construction accounting with full job cost tracking, draw schedules, and budget management.

  • Job cost module configuration
  • Budget setup and tracking
  • Draw management workflows
  • Commitment and contract tracking
  • Cost-to-complete reporting

COA Design & Standardization

Chart of accounts architecture that supports diverse asset types while enabling consolidated reporting.

  • GL account structure design
  • Segment and dimension setup
  • Mapping existing COAs
  • Reporting hierarchy configuration
  • Documentation and training

Ongoing Support

Continuous support for your mixed portfolio Yardi environment as your business evolves.

  • Help desk support
  • New property onboarding
  • Acquisition integrations
  • User training
  • System optimization
Asset Class Expertise

All Property Types, One Platform

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Multifamily

Conventional apartments, student housing, and market-rate residential

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Commercial

Office, retail, industrial, and mixed-use properties with CAM and lease accounting

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Affordable Housing

LIHTC, Section 8, HUD, and compliance-driven affordable portfolios

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Development & Construction

Ground-up development, renovations, and job cost accounting

Trusted By

Diversified Operators & Developers

We've helped leading mixed-portfolio organizations optimize their Yardi environments.

Lordae Properties
The Brodsky Organization
Beacon Communities
Billingsley Company
Coro Realty

BC Solutions helped us bring residential, commercial, and development assets into a single Yardi environment with unified reporting. For the first time, we can see our entire portfolio in one place.

Mixed Portfolio Client VP of Finance, Diversified Real Estate Company
Common Questions

Mixed Portfolio FAQ

Should we consolidate into one database or keep separate databases?

It depends on your organization's structure, reporting needs, and operational requirements. Single databases simplify reporting but can add complexity to operations. We help you evaluate the trade-offs and implement the right architecture.

Can we have a unified chart of accounts across different asset types?

Yes, with careful planning. We design COA structures that accommodate the unique needs of each asset class while enabling consolidated reporting. The key is balancing standardization with flexibility.

How does Yardi handle job cost and development accounting?

Yardi's Job Cost module tracks budgets, commitments, and actual costs for development projects. We configure draw schedules, budget tracking, and cost-to-complete reporting to give you full visibility into your development pipeline.

Can we get consolidated reports across all asset classes?

Absolutely. We configure Yardi to produce consolidated financial statements, management packages, and investor reports that roll up across residential, commercial, affordable, and development assets. Custom dashboards provide real-time visibility.

How do you handle intercompany transactions?

We configure entity structures, intercompany accounts, and elimination entries to properly handle transactions between related entities. This ensures accurate consolidated financials and proper audit trails.

What if we acquire a new portfolio with different systems?

We regularly help clients integrate acquired portfolios into existing Yardi environments. This includes data migration, COA mapping, and ensuring consistent reporting across the combined portfolio.

Ready to unify your mixed portfolio?

Tell us about your portfolio and challenges. We'll respond within one business day with recommendations.