SERVICES
Fund Administration
Fund managers need clean books, timely reporting, and a partner who understands both accounting and tax.
CalCPAGroup provides fund administration services for real estate funds, syndications, and other private investment vehicles, with an emphasis on clear reporting and dependable execution.
Start Intake
What's We Handle
We provide a coordinated layer between your investments, your investors, and your tax advisors.
How an Engagement Works
Full-service fund administration for real estate and investment funds; rigorous accounting, investor services, and tax-ready reporting for fund managers.
Intake
You complete a short intake with details about your fund structure, strategy, and investor base.
Discovery and scoping
We review your materials, ask follow‑up questions, and define the scope of work, reporting cadence, and migration needs.
Onboarding and data migration
We help organize historical data, set up or refine your chart of accounts, and establish processes for ongoing activity.
Ongoing accounting and reporting
We manage your agreed‑upon close process (monthly, quarterly, or otherwise) and prepare investor and manager‑level reports.
Year‑end coordination
We work alongside your tax preparers and other advisors so K‑1s, financials, and related deliverables are based on accurate, reconciled records.
As your fund grows or strategy evolves, we can revisit scope and cadence rather than locking you into a rigid one‑size plan.
Start Intake
Why Work With Us?
Fewer surprises – Clear expectations around taxes owed and estimated payments.
Better decisions – Advice on the tax impact of big choices before you make them.
Coordinated strategy – Tax, real estate, and business decisions aligned instead of siloed.
Consistency – A relationship with the same core team year over year.

