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UK REIT Accounting & Portfolio Services | OHI
UK REIT Accounting Specialists

UK REIT Accounting Services

Asset-level accounting, portfolio-level reporting, and scalable finance operations — at 40–60% lower cost than in-house teams.

UK GAAP & IFRS ISO 27001 Certified 20+ Years Experience
Specialist UK REIT Accounting Partner
UK GAAP & IFRS Reporting
Enterprise-Grade Security & Compliance
8.5B+ Assets Under Management
20+

Years Experience

150+

Global RE Clients

10+

UK REIT Clients

500+

Professionals

450+

Properties Tracked

40-60%

Cost Savings

OUR SERVICES

What We Deliver

End-to-end accounting and financial operations for UK REITs — across asset-level accounting, portfolio-level reporting, investor reporting, and audit-ready financial outputs.

Asset-Level Accounting & Reporting

Full-cycle property accounting with transparent, audit-ready outputs.

Property-level bookkeeping & general ledger maintenance
Rental income tracking & rent roll reconciliations
Asset-level P&L reporting & cash flow analysis
Budget versus actual reporting & variance support

Portfolio-Level Reporting Support

Consolidated reporting packs and investor-ready financial outputs.

Asset-level consolidation & portfolio reporting
Fixed asset & depreciation schedule validation
Multi-entity accounting & SPV workflows
Intercompany reconciliations & consolidation support

Investor & Compliance Reporting

Audit-ready outputs aligned with UK GAAP, IFRS, and regulatory requirements.

Annual Financial Report & Half-Yearly Report support
UKSEF reporting workflow support
Audit schedules & reconciliation support
VAT & MTD accounting compliance

Transaction & Finance Operations Support

Reliable transaction processing, cash control, and financial operations.

AP/AR process management & supplier accounting
Bank reconciliations & cash flow management
Journal entries, accruals & lease-related accounting
CAPEX tracking & month-end close support
REIT Portfolio Types We Serve:
Residential
Commercial
Mixed-Use
Industrial
Life Sciences
Healthcare

Industry-Leading Software Expertise

Deep experience across leading business platforms and operational systems, with certified specialists ready to work seamlessly within your existing workflows.

WHY UK REIT FIRMS CHOOSE OHI

OHI vs. Traditional Alternatives

How we compare to UK accounting firms, generic offshore providers, and in-house hiring.

Factor UK Accounting Firm Generic Offshore OHI
Cost £60–100/hr Lower cost 40–60% saving
REIT Specialisation Generalist No REIT focus 20+ yrs REIT
Portfolio Reporting Limited Minimal Full support
Investor Reporting Variable Limited UK knowledge UK GAAP/IFRS
Staff Continuity High turnover Inconsistent Dedicated + backup
Scalability Limited Variable quality Scale monthly
UK Hours Support Full overlap Limited Full UK hours
HOW IT WORKS

Your REIT Accounting Workflow with OHI

A seamless, transparent process from discovery to steady-state accounting operations.

1. Discovery

Portfolio review & requirements

2. Team Setup

Dedicated accountants assigned

3. Playbooks

SLAs, checklists & approvals

4. Go-Live

Shadow & transition support

5. Steady State

Ongoing reporting & reviews

Engagement Models

Choose Your Team Structure

Flexible, dedicated REIT accounting support tailored to your portfolio size, complexity, and reporting needs.

Junior REIT Accountant

Entry Level

Ideal for straightforward portfolios needing reliable day-to-day accounting support.

  • Asset-level bookkeeping & support
  • Recording rental income and purchase bills
  • Processing invoices, receipts, and payments
  • Daily/weekly bank transaction posting
  • Basic bank and supplier reconciliations

Senior REIT Accountant

Management Level

For firms managing complex portfolios or needing a dedicated, scalable accounting team with full oversight.

  • General ledger and balance sheet sign-off
  • Reviewing monthly/quarterly management accounts
  • Reviewing and mentoring junior accountants
  • Investor reporting & compliance support
  • Primary finance contact for clients

Flexible Engagement Hours

Scale up or down based on your monthly needs

Choose from: 25 hrs/mo 50 hrs/mo 80 hrs/mo 160 hrs/mo Custom

No long-term contracts
Easy to scale
Month-to-month flexibility
QUALITY & CONTROL

Enterprise-Grade Controls & Compliance

Dual controls, standardised checklists, and live SLA tracking ensure every reconciliation, report, and schedule is accurate and on time.

Security & Compliance

ISO 27001 & SOC 2 certified facility with role-based access, MFA, and end-to-end encryption.

  • Audit trails and approval limits
  • GDPR compliant data handling
  • Disaster recovery and BCP

Process Discipline

Daily, weekly, and monthly checklists with SLA dashboards visible to you.

  • Cut-off calendars & closing playbooks
  • Maker-checker for journals & payments
  • Exception logs & variance commentary

Communication

UK hours overlap, dedicated lead, and structured weekly reviews.

  • Response SLAs and escalation paths
  • Shared trackers & dashboards
  • Quarterly steering reviews
CLIENT STORIES

Trusted by UK REIT Professionals

"OHI manages our asset-level accounting and portfolio reporting across our £2B+ REIT portfolio. Their attention to detail and specialised REIT knowledge have transformed our financial reporting and investor communication."

UK REIT Investor

London • £2B+ AUM

"The team handles our portfolio consolidation, month-end reporting, and investor reporting. Their UK GAAP and IFRS expertise is exceptional. We've reduced our finance costs by 45% while improving reporting quality."

Asset Manager

Manchester • 450+ Properties

Frequently Asked Questions

View All
QHow do you ensure compliance with UK REIT regulations and reporting standards?
Our accountants are trained in UK GAAP, IFRS, and REIT-specific reporting requirements. We follow FCA guidance for UK REITs and prepare audit-ready financial statements aligned with AFR, HYFR, and UKSEF reporting standards.
QDo you work UK business hours?
Yes. Our teams work UK business hours with dedicated overlap coverage. You'll have a UK-based account lead and direct access to your dedicated accounting team during standard UK working hours (9am-5:30pm GMT).
QHow do you handle portfolio consolidation and multi-entity accounting?
We specialise in multi-entity REIT accounting. Our team manages SPV structures, intercompany reconciliations, consolidation workflows, and portfolio-level reporting using Yardi, MRI, and Excel-based systems.
QCan you integrate with Yardi, MRI, Re-Leased, or other property management systems?
Absolutely. We have deep expertise in all major REIT and property management platforms including Yardi, MRI Software, Re-Leased, Qube, and Excel-based reporting. Our team can work directly in your existing systems.
QIs the team dedicated or shared?
You get a dedicated team assigned exclusively to your REIT portfolio. This includes primary accountants, a senior reviewer, and a UK account lead. We also provide backup coverage during holidays or sick leave.
QWhat is the minimum engagement period?
We offer flexible engagement terms. Start with a 30-day pilot to test our services with minimal commitment. After the pilot, you can choose month-to-month terms or secure better rates with quarterly/annual commitments.
QHow does pricing work for part-time or project-based REIT accounting?
We offer flexible part-time options at 25, 50, or 80 hours per month. For project-based work, we provide fixed-price quotes based on scope. Contact us for a custom proposal tailored to your REIT portfolio size.
QHow is sensitive REIT financial data handled securely?
We hold SOC 2 Type II and ISO 27001 certifications. All data is encrypted in transit and at rest. We use role-based access controls, multi-factor authentication, and maintain comprehensive audit trails. Full GDPR compliance is standard.

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