Behind Every Autonomous Entrata Workflow, Someone Still Checks the Ledger

Karma Global Solutions works directly within your Entrata property management software to maintain correct entity-level ledgers, management fees, and owner reporting as that automation grows, while Entrata's AI agents now handle a large portion of the daily leasing, payments, and maintenance workload.

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software

2003

Founded In

100+

Native AI Agents

3,000+

Configurable Settings

6

Layers in the Autonomy Stack

What Actually Sets Entrata Apart From Other Property Management Platforms

Before you touch the books, it's important to understand a few aspects of Entrata, which is designed more like an operating system than standard software.

One Data Layer for the Entire Operation

Accounting, leasing, and resident data sit on a single unified data layer instead of separate modules stitched together, so a payment posted in leasing reflects in the ledger the same moment, not after an overnight sync.

100+ Purpose-Built AI Agents

From Bill Pay routing to renewals to maintenance dispatch, Entrata embeds more than 100 native agents directly inside workflows, handling structured tasks without a separate AI layer bolted on top.

Autonomy That Stays Inside Your Rules

Every agent action runs through operator-defined guardrails covering fair housing rules, ACH compliance, and approval routing, with a full audit trail behind each decision.

Enterprise-Grade Configurability

Large operators can adjust charge structures, permissions, and procedures to precisely match how each business operates thanks to the more than 3,000 parameters available at the site or corporate level.
Autonomy Runs Inside Guardrails. Karma Global Solutions Sets Them Right.

100+ AI Agents Move Fast. Your Books Still Need a Second Set of Eyes

Once its guardrails are set up, Entrata’s agentic layer can draft, determine, and execute for leases, payments, and accounting workflows with little human intervention. However, those guardrails, GL mappings, fee templates, and approval levels are only as accurate as the person who created them, and a single incorrectly configured rule can replicate itself on its own across all entities it comes into contact with before anyone knows. After setting up and auditing that governance layer, Karma Global Solutions closely monitors the posts made by the agents.

Entity-Level Accounting Oversight

Statements Built for Institutional Owners

Agent Guardrail Audits

What Karma Global Solutions Verifies Behind Entrata's Automation

Entrata accounting services from Karma Global Solutions focus on the exact points where autonomous execution can go wrong at scale.
Checks calculated management fees against each entity's actual fee schedule before they post, catching formula drift before it compounds across a portfolio.
Spot-checks the batches, captured rebates, and treasury approvals the Bill Pay Routing Agent clears on its own, catching misrouted or miscoded invoices before they reach a vendor.
Reviews custom journal entries for coding accuracy across every entity before they post to the general ledger.
Clears stale and uncashed AP payments flagged inside Entrata before they turn into state compliance exposure.
Reconciles capitalized costs and job costing entries against approved budgets so capital spending stays on plan.
Cross-checks utility billback allocations and sales tax audit outputs against source invoices and jurisdiction rules.

Entrata Services That Keep Operations Connected

Entrata Onboarding and Data Migration

Bring your existing property and accounting data into Entrata and configure the platform around your operating structure.

Streamline Your Entrata Operations

Enhance daily operations and financial accuracy through reporting, reconciliation, and continuous system support.

Portfolios That We Support

Our Entrata services are built for:

The Edges of Entrata's Autonomy

Entrata's agentic architecture is built for scale, but scale has its own blind spots.
Transactions post in real time without the need for batch imports or nightly syncs to reconcile because leasing, payments, and accounting are all housed on Entrata's single unified data layer.
Every price, GL mapping, and approval routing may be tailored to each entity thanks to Entrata's enterprise-level configurability. Yet, this same depth implies that one incorrectly configured parameter might misroute payments across all properties it affects.
Smaller portfolios frequently require outside assistance simply to operate the platform at the scale for which it was designed because Entrata's price, onboarding schedule, and multi-entity architecture are designed for big multifamily operators.

The Entrata Portfolios Karma Global Solutions Keeps Balanced

Karma Global Solutions builds Entrata accounting services around each of Entrata's core solution categories, not a one-size-fits-all bookkeeping process.

Multifamily Operators

Maintains uniformity in bill payment, owner statements, and job pricing across all communities in an expanding multifamily portfolio.

Student Housing Communities

Oversees the turn-season billing increases, parent guarantees, and roommate-based leases associated with student housing.

Affordable Housing Programs

Tracks compliance-driven budgets and reporting for properties operating under regulated housing programs.

Military Housing Communities

Reconciles MAC payment processing and deployment-driven turnover against the ledger for military housing portfolios.

Commercial and Mixed-Use Owners

Separates office, retail, and residential income streams cleanly within one chart of accounts.

Manufactured Housing Communities

Handles lot rent billing and long-term leasing structures unique to manufactured housing sites.

Institutional and REIT Owners

Consolidates entity-level ledgers into audit-ready, investor-grade reporting across dispersed holdings.

Third-Party Management Companies

Keeps each ownership group's books separate and accurate inside a single shared Entrata instance.

Our services

Services for Real Estate and CPA Firms

Real Estate, Accounting, and Construction Platforms

Software We Work On

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Industries We Serve

Frequently Asked Questions

Q1. Does Entrata's AI actually post accounting entries on its own?

To a point. Agents like the Bill Pay Routing Agents can clear routine batches and approvals autonomously, but they operate inside guardrails someone has to set and periodically audit.

Fee formulas vary by contract and can drift silently across dozens of entities if an upstream template changes, so calculated fees need to be checked against the actual management agreements now and then.

There’s no fixed timeline. It depends on entity count and how many workflows you want automated, but rushing this step is usually where reconciliation errors later trace back to.