EA RESIG: Real Estate Fund Administration Services
Streamlining Real Estate Fund Management with Bespoke Back-Office Solutions
EA RESIG is a fund advisory firm with concentrated expertise in real estate.
In real estate fund management, striking a balance between investor expectations and market realities is a constant challenge. Fund managers must navigate intricate financial landscapes while maintaining compliance and maximizing returns. This demanding environment leaves little room for the additional burden of managing in-house accounting and administrative tasks.
We support real estate private equity funds, providing comprehensive consulting, accounting, financial management, and integrated tax solutions through our affiliate firm, EisnerAmper. Our goal is to enable fund managers to focus on their core business, strategizing and managing investments, while we handle the back-office complexities.
Leaders in Real Estate Fund Administration
*EA RESIG LLC is the largest private fund administrator by funds administered to the growing Real Estate Fund market, as ranked by industry publications.
Free Your Team to Focus on Growth, Not Administration
Managing an in-house accounting department can be burdensome. Freeing up internal resources enables you to focus on your primary mission, delivering value to your investors, and growing your portfolio. Our team consists of real estate professionals with extensive industry experience, including former in-house controllers and CFOs. This firsthand experience enables us to offer high-level insights and hands-on guidance tailored to your specific goals.
As part of the EisnerAmper ecosystem, EA RESIG combines fund administration excellence with access to a full suite of accounting, advisory, and tax resources. This integrated approach gives our clients confidence that their funds are managed with precision, transparency, and a prospective view of the industry landscape.
Explore Outsourced Fund Administration
Types of Funds We Support
- Equity
- Credit
- Open
- Closed
- Emerging Managers
- Established
Our Fund Administration Capabilities
EA RESIG helps real estate fund managers reduce operational complexity and scale with confidence. By outsourcing fund administration to a team that understands the nuances of real estate private equity, fund managers can focus on maximizing investor returns while we provide best-in-industry support.
Powered by EA RESIG
Core Fund Administration Services
We provide full-cycle fund accounting, capital call and distribution management, and investor reporting – freeing up internal resources and improving accuracy. Our support during the fund launch, including advisory on structure and documents, creates a strong operational foundation, while our waterfall consulting helps maintain fair and transparent profit allocations. Property accounting and treasury services streamline day-to-day operations, and our investor relations support enhances communication and trust with LPs.
Solutions
Specialized Advisory & Compliance Services
We deliver audit-ready compliance, AML/KYC support, and valuation services that help funds meet regulatory demands and investor expectations. Our technical accounting guidance and model maintenance services help keep your financials accurate, defensible, and aligned with fund strategy.
Services
Tax & Structuring Services
Our tax professionals help real estate fund’s structure deals efficiently and stay compliant across jurisdictions. For Qualified Opportunity Funds, we provide end-to-end support from formation through compliance testing, so managers can unlock tax advantages while staying focused on growth.
Solutions
Technology & Platforms We Support

From leading market platforms such as Yardi Voyager and Kyriba to proprietary tools that automate routine processes, EA RESIG’s advanced technology stack helps clients make informed business decisions and streamline day-to-day operations. Whether navigating complex fund structures, investor needs, or regulatory requirements, clients benefit from enhanced transparency and faster turnaround times, powered by our digital ecosystem.
We prioritize flexibility and a client-centric approach in our investor portal solutions. Clients have the freedom to select the tools that best align with their strategic goals and meet their investors’ expectations. By seamlessly integrating with leading portal platforms, we transform complex data into clear, actionable insights—enhancing transparency, elevating the investor experience, and empowering more informed decision-making.
We safeguard our clients’ data by maintaining our SOC I Type II certification, demonstrating our commitment to the highest levels of security and operational rigor. It’s a powerful signal of trust and accountability, ensuring clients can rely on us to deliver consistent, compliant, and secure service at every stage of the engagement.