Accept card and local methods, auto-match payments by building/unit, and keep ledgers clean with virtual sub-accounts.
Accept card and local methods, auto-match payments by building/unit, and keep ledgers clean with virtual sub-accounts.
Schedule distributions, split fees, and pay vendors in seconds via SEPA/Faster Payments with clear references.
Hold, release, and refund security deposits with approvals, audit logs, and automated notices.
KYB/KYC, AML screening, and export-ready statements - designed for property audits and month-end close.
Binaxpay helps property managers, brokers, and REITs automate rent collection, security deposits, owner distributions, and vendor payments - complete with virtual sub-accounts, clear reconciliation, and audit-ready records.
Collect card/local payments, allocate by building/unit, and sync references for clean ledgers.
Schedule distributions and pay vendors via SEPA/Faster Payments with approvals and webhooks.
Hold and release deposits with full audit trails, KYB/KYC checks, and exportable statements.
Properties & Units Managed
Monthly Rent Transactions
Landlords & Vendors Paid
On-Time Payout Rate
Binaxpay streamlines rent collection, security deposits, landlord/vendor payouts, and compliance - so property managers and asset owners can close months faster and operate with confidence.
We help property managers, owners, and operators streamline rent collection, deposits, owner/vendor payouts, and compliance - reducing manual work and month-end stress.
From recurring rent and utilities to move-in deposits and move-out refunds, Binaxpay maps to real estate cashflows with virtual sub-accounts, references, and clean reconciliation.
Digitize KYC/KYB for tenants, owners, and vendors. Configure approvals, screen for AML, and keep audit trails - so compliance is baked in, not bolted on.
Collect via bank transfers and cards, then schedule batch payouts to landlords, HOAs, and suppliers across SEPA, Faster Payments, and SWIFT - with remittance advice included.
Ring-fence security deposits in dedicated virtual accounts, track interest where required, and release funds with two-person approvals and complete logs.
Sync payments, invoices, and statements with your PMS/ERP/CRM. Use webhooks and exports to close the books faster and keep stakeholders informed in real time.
See practical examples of automated collections, compliant deposits, and on-time disbursements - built to reduce back-office work and speed up month-end close.