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Your LP Portal Looks Like 2012. Your Next Close Depends on Fixing It.

If you're a PE real estate GP raising Fund III or later, you already know: institutional LPs expect Stripe-grade UX before they wire the first tranche.

Custom web platforms for private equity real estate firms -- investor portals, fund marketing sites, and deal pipeline tools built on modern architecture.

PE Real Estate Web Development

Private equity real estate web development covers the full stack of digital infrastructure a GP needs to raise, manage, and report on institutional capital: fund marketing sites, authenticated investor portals, and internal deal pipeline tools. These are not brochure sites — they require role-based access control, secure document delivery, and data integrations with fund administrators or CRMs. We build them on Next.js with Astro where appropriate, optimized for performance, security, and the specific workflows of a real estate GP running multiple vehicles.

What is holding your current website back?

Common gaps we find in nearly every audit.

Your current portal is a PDF-emailed password to a shared Dropbox folder, and Series B institutional allocators notice immediately.
Risk: LPs interpret poor document infrastructure as a signal about operational maturity, which directly affects conviction during diligence — especially for first-time institutional commitments to your fund.
Your fund marketing site has not been updated since Fund I and still shows a 2019 track record with no mobile layout.
Risk: Prospective LPs research GPs independently before taking a call; an outdated or broken site shortens the window between first impression and a pass email from the family office investment team.
Your IR team is manually distributing K-1s, capital call notices, and quarterly reports through email chains with no audit trail.
Risk: Without a documented delivery and acknowledgment record, you carry compliance exposure and spend IR bandwidth on document logistics instead of relationship management ahead of the next close.

How We Build This Right

Every safeguard, built in from Day 1.

Role-Based Document Access

Every document in the portal is gated by investor-level permissions so LPs see only their own capital account statements, K-1s, and fund materials — no cross-investor data leakage.

Audit Trail for Regulated Deliverables

Capital call notices, distribution notices, and quarterly reports are logged with delivery timestamps and acknowledgment records, giving your compliance team a defensible paper trail for SEC exam readiness.

SOC 2-Compatible Infrastructure

We deploy on infrastructure providers with SOC 2 Type II certifications and configure environments to meet the access control, logging, and encryption standards your institutional LPs request during operational due diligence.

What We Build

Purpose-built features for your industry.

Authenticated Investor Portal

LP-facing dashboards with SSO or multi-factor authentication, individual capital account views, and a document vault that supports versioned uploads, expiration controls, and per-document access logging.

Fund Marketing Site with Gated Deal Room

A public-facing fund site presenting track record, team, and strategy — backed by a gated deal room where qualified prospects access the PPM, financial models, and property-level materials after NDA execution.

Portfolio Asset Showcase

Property-level pages with performance data, asset photography, lease status, and hold period metrics — structured so IR can update figures without a developer and so the data is queryable for future reporting integrations.

CRM and Fund Admin Integration

API connections to your existing CRM, fund administrator data exports, or cap table tools so investor records, commitment amounts, and distribution history stay current in the portal without manual re-entry by IR staff.

Built on a Modern, Secure Stack

Next.jsSupabaseVercelSanityMapboxAuth0Plaid

Our Development Process

From discovery to launch. Quality at every step.

01

IR and Compliance Workflow Audit

1 week

We map your current document distribution process, LP communication cadence, fund administrator data outputs, and access control requirements before writing a line of code — so the architecture fits how your IR team actually operates.

02

Information Architecture and Access Model

1-2 weeks

We define the permission hierarchy across LP tiers, fund vehicles, and staff roles, and produce annotated wireframes for the portal, marketing site, and deal room so you can validate structure with your GP team and legal counsel before design begins.

03

Design, Build, and Integration

4-6 weeks

We design to your brand standards, build on Next.js with server-side rendering for gated routes, configure authentication, and connect to your fund admin or CRM data sources — with staged deployments for your IR team to test against real document workflows.

04

LP Onboarding and Handoff

1-2 weeks

We run a structured onboarding sequence for existing LPs migrating from your current system, document the CMS and admin workflows for your IR team, and provide a 30-day post-launch support window covering any access, integration, or content issues.

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Frequently Asked Questions

A marketing-focused PE real estate site typically ships in 6-8 weeks. Adding a full investor portal with authenticated dashboards, document vaults, and fund performance reporting pushes the timeline to 10-12 weeks. Every project is scoped with fixed timelines and milestones so your IR team can plan LP communications around the launch.
Yes. We build API integrations with major fund admin platforms including Juniper Square, InvestNext, and Yardi. If your admin provides data exports, we can automate ingestion into your portal's reporting dashboards. For firms on custom accounting systems, we design a flexible data layer that accepts CSV uploads or direct database connections.
Every document is encrypted at rest and in transit. Access runs through role-based permissions -- LPs only see their own fund data and documents. We implement watermarked PDF downloads, view tracking, and full audit logs. The architecture is built to support SOC 2 Type II compliance requirements out of the box.
No. We build on Sanity CMS, which gives your IR and marketing teams a visual editing interface for team bios, fund pages, market commentary, and press releases. Document uploads to the investor portal use a drag-and-drop interface. We train your team during launch week and provide documentation for every workflow.
Absolutely -- that's our standard approach. The public marketing site handles SEO, firm positioning, and lead capture. Authenticated users access the investor portal through a login that routes them to their personalized dashboard. Both experiences share the same design system but serve completely different purposes and audiences.
PE real estate sites have to serve two audiences at once: prospective investors evaluating your strategy and existing LPs managing their commitments. That requires authenticated portals, fund-specific content architecture, regulatory-aware document management, and performance visualization -- none of which standard templates handle. The credibility bar is also significantly higher than a typical corporate site.
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