Real estate payment integration
Stripe, Razorpay, PayU, Cashfree, Plaid, ACH, UPI, Apple Pay, Google Pay, and GCC payment rails wired into your PMS, CRM, tenant apps, and accounting system. Subscription billing, deposits, partial payments, split payments, multi-currency, and automated reconciliation built for the way real estate transactions actually work.
100+ operators · 14 countries · Multi-currency across US, EU, India, UAE
Multi-currency support
Automated reconciliation
PCI-DSS aware architecture
What does this service do?
Real estate payment integration covers the connection of payment gateways, billing systems, and financial infrastructure to property management systems, CRMs, tenant apps, and accounting software. Noseberry Digitals wires Stripe, Razorpay, PayU, Cashfree, Plaid, ACH, UPI, and GCC payment rails into the operational stack for coliving operators, BTR operators, property managers, developers, brokerages, and investment platforms. Engagements include subscription billing, deposit handling, partial and split payments, multi-currency support, and automated reconciliation with accounting systems.
Trusted by 50+ operators, PropTech companies & digital-first brands
Harrington Housing
Hive Coliv
Edge Living
CDA Coliving
Fllat
Volley
TheVibes
CasaPay
JumboTiger
Everything Coliving
Bookmycoliving
Bhutani
Gulshan
Harrington Housing
Hive Coliv
Edge Living
CDA Coliving
Fllat
Volley
TheVibes
CasaPay
JumboTiger
Everything Coliving
Bookmycoliving
Bhutani
Gulshan
CRC
M3M
Godrej
Omaxe
Sikka
Lodha
Mahagun
Prestige
Sawasdee
CRC
M3M
Godrej
Omaxe
Sikka
Lodha
Mahagun
Prestige
Sawasdee
Seven payment capabilities for real estate.
Rent and subscription billing
Recurring payments for monthly rent, membership fees, and service charges. Automated billing cycles, payment reminders, failed payment retries, and receipt generation. Integrated with your PMS and tenant app.
Deposit and holding fee processing
Security deposits, booking fees, and holding deposits captured and managed with compliant escrow-style handling. Refund workflows, partial deductions, and deposit accounting connected to your financial system.
Partial and split payments
Tenants splitting rent between roommates, partial payment plans for large deposits, and instalment schedules for developer sales. Payment allocation logic built around your specific transaction model.
Multi-currency and regional gateways
USD, EUR, GBP, INR, AED, and other currencies supported through Stripe, Razorpay, PayU, Cashfree, and GCC-specific rails. Tax calculation, local compliance, and receipt generation configured per market.
ACH, UPI, and bank transfer processing
Direct bank payments for markets where card processing fees are a concern. ACH for US operators, UPI for India, and bank transfer flows for UAE and EU markets.
Accounting reconciliation
Payment data flowing automatically into QuickBooks, Xero, Tally, NetSuite, or Zoho Books. Invoice generation, receipt matching, revenue recognition, and bank reconciliation without manual journal entries.
Investor capital flows
Capital calls, distribution payments, and quarterly payouts for investment platforms and funds. KYC-aware payment flows with audit trails and compliance logging.
A payment integration for every transaction model.
- 01
First payment system
Moving from manual bank transfers and spreadsheet tracking to automated billing with a proper payment gateway.
- 02
Adding online payments to an existing PMS
The PMS handles operations but payments are processed separately. Integration connects billing to the tenant lifecycle automatically.
- 03
Multi-currency expansion
Entering new markets with different currencies, tax rules, and payment preferences. Regional gateways and compliance configured for each geography.
- 04
Replacing a payment provider
Switching from one gateway to another without disrupting active subscriptions, tenant billing, or accounting reconciliation.
- 05
Adding tenant-facing payment features
Tenants need to pay through the app or portal with card, bank transfer, or mobile wallets. Payment UI, receipt generation, and history accessible from the tenant experience.
- 06
Automating reconciliation
Finance team spending hours matching payments to invoices and ledger entries. Automated reconciliation eliminates manual matching and reduces month-end close time.
Not sure where to start? and the team will identify exactly where to start.
Built for real estate operators handling real money.
Coliving and BTR operators
Processing recurring rent, deposits, and community fees across portfolios of 5 to 500 properties.
Property managers
Collecting rent, processing deposits, and reconciling payments across owner accounts and vendor payouts.
Real estate developers
Handling booking fees, instalment payments, and channel-partner commissions across project launches.
Brokerages
Processing commission splits, referral fees, and transaction-related payments.
PropTech founders
Building payment-enabled platforms with subscription billing, marketplace transactions, or investment flows.
Investment platforms
Managing capital calls, distribution payments, and quarterly investor payouts with compliance-aware audit trails.
Everything included in your payment integration.
Payment gateway wiring with Stripe, Razorpay, PayU, Cashfree, Plaid, or regional providers.
Billing logic for recurring rent, deposits, partial payments, split payments, and instalments.
Multi-currency support with tax calculation, local compliance, and receipt generation per market.
PMS and CRM connection so payment status syncs with tenant records, deal stages, and owner reporting.
Accounting reconciliation with QuickBooks, Xero, Tally, NetSuite, or Zoho Books.
Tenant-facing payment UI in your app or web portal with card, bank transfer, and mobile wallet support.
Monitoring and alerting for failed payments, retry logic, and reconciliation discrepancies.
Four to eight weeks. Structured and transparent.
- Phase 01
Discovery (week 1)
Payment flow mapping, gateway selection, currency requirements, and accounting integration planning.
- Phase 02
Architecture (week 2)
Payment logic design, error handling, retry policies, reconciliation rules, and security model.
- Phase 03
Build and integration (weeks 3 to 6)
Gateway wiring, billing logic, PMS/CRM connection, and accounting sync built and tested in sandbox.
- Phase 04
Validation (week 7)
End-to-end payment testing, reconciliation verification, edge-case testing, and parallel-run period.
- Phase 05
Launch and operate (week 8+)
Production cutover, monitoring, failed payment alerting, and retainer-backed support.
Often shipped together
Frequently asked questions
Which payment gateway should we use?
Depends on your markets. Stripe for US, EU, and multi-currency. Razorpay for India. PayU or Cashfree for India/SEA. GCC-specific rails for UAE and Saudi Arabia. The team recommends during discovery based on geography, transaction type, and cost.
Can you connect payments to our accounting system?
Yes. Automated reconciliation with QuickBooks, Xero, Tally, NetSuite, or Zoho Books. Invoice generation, receipt matching, and revenue recognition flow automatically.
Do you handle split payments between roommates?
Yes. Split payment logic divides rent between roommates with individual payment tracking, reminders, and receipt generation per tenant.
What about PCI compliance?
Payment integrations are built PCI-DSS aware. Card data is handled by the gateway (Stripe, Razorpay), not stored on your servers. SOC2-ready audit logging captures every transaction event.
Ready to automate your payment flows?
Share your current payment setup, target markets, and accounting system. The team comes back with a scoped proposal within five business days.
No slides. No sales pitch. Just a focused strategy call.
Payment integration · Reply within 24 hours