CRE Investor & Deal Management for Capital Raises
Track your investor pool, manage commitments by deal, and run commercial real estate raises without fund admin complexity.
No credit card • Setup in minutes • Built for deal-by-deal sponsors
Sound familiar?
- Investor info and commitments scattered across spreadsheets
- No single view of which investors are in which CRE deals
- Manual tracking of soft commits and allocations
- Difficult to see raise progress per deal
- LP reporting and closing exports are manual
What you get
Centralize CRE investors
One database of investors with deal type interests and history.
Track commitments by deal
Each CRE deal has its own commitments and allocations.
Run the raise lifecycle
From pre-raise outreach through close and LP updates.
See raise progress
Committed vs. target capital per deal at a glance.
Export anytime
Clean data for PPMs, operating agreements, and LP reporting.
Your workflow
- 1Build your CRE investor list by asset type
- 2Track soft commits and allocations per deal
- 3Monitor raise progress and identify gaps
- 4Manage investor communications and updates
- 5Export for closing and LP reporting
Features that matter to you
Investor database
Track CRE investors with asset type preferences and capacity.
Deal-by-deal tracking
Each deal has its own commitments—multifamily, retail, office, etc.
Commitment management
Soft commits, allocations, and ownership % per deal.
Raise progress view
Committed vs. target capital per deal.
Deal types & interests
Match deals to investor preferences by asset class.
Notes & activity
Log calls and follow-ups per investor.
Export & reporting
CSV and structured data for closing and LP updates.
Team collaboration
Invite partners and associates with role-based access.
Built for deal-by-deal sponsors — not fund managers
Investor-Tracker (Deal-by-deal sponsors)
- Deal-by-deal capital raises
- Per-deal commitment tracking
- No fund structure required
- Simple pricing for CRE investors
- Set up in minutes
Fund manager software
- Fund-level subscription model
- Complex NAV and waterfall logic
- Fund admin integration
- Higher cost and setup time
- Built for institutional LPs
Trusted by sponsors like you
Used by active sponsors who manage multiple raises per year
Frequently asked questions
- What is CRE investor CRM?
- CRE investor CRM helps commercial real estate investors manage their LP pool, track commitments per deal, and run capital raises—without fund admin complexity. Investor-Tracker is built for deal-by-deal CRE sponsors.
- Can I track multiple CRE deals at once?
- Yes. Each deal has its own commitments and investors. Your investor database is shared across deals by asset type, so you can see who's in which raise.
- Does it work for multifamily, retail, and office?
- Yes. Deal types let you categorize by asset class. Match investors to deals by their interests—multifamily, retail, office, industrial, etc.
- How do I get started?
- Sign up free—no credit card required. Add your LP list, create deals by asset type, and start tracking commitments. Sample data helps you explore the workflow.
- Can I export for PPMs and operating agreements?
- Yes. Export investors and commitments to CSV. Use clean data for PPMs, operating agreements, closing, and LP reporting.
- Is Investor-Tracker suitable for joint ventures?
- Yes. Track equity partners and commitments per deal. See who's in each JV and manage capital raises across multiple projects.
Ready to run your first deal?
Start free — no credit card required. Set up in minutes and centralize your investor pool today.
Start Free — Run Your First Deal