Skip to content
Sakneen
Menu

Developer Cloud

Real-time inventory

Sakneen keeps a developer's unit inventory live and synchronized with the CRM and ERP that already run the business. Availability, holds, pricing and payment plans update in one place, and every surface that shows a unit — masterplan, offer, broker portal, dashboard — reads that same record.

One list, not five

The cost of a stale inventory list is not administrative, it is commercial: a unit sold twice, a price quoted below the current list, or a client told a phase is sold out while eleven units sit unallocated.

Sakneen synchronizes with your systems continuously and holds the current state of every unit. When a salesperson filters, they are filtering live data — not an export taken this morning.

What a search can filter on

Inventory filters available to a Sakneen sales user
FilterExamples
PriceTotal price, price per metre, down payment, monthly instalment
Payment planYears, down payment percentage, cash discount, delivery-linked milestones
GeometryBuilt-up area, land area, bedrooms, garden or roof, floor level
AvailabilityAvailable, held, reserved, released back to inventory
DeliveryDelivery year and quarter, finishing specification
PositionPhase, cluster, building, orientation, view

Holds and double-sale prevention

A hold is a first-class object with an owner and an expiry, not a note in a spreadsheet. When a salesperson holds a unit for a client, it is unavailable to everyone else immediately, and it returns to inventory automatically when the hold lapses — which is what makes launch day survivable.

Frequently asked questions

How does the sync with our CRM work?
Sakneen connects through the CRM's API and maps unit codes to records. The sync is two-way for the fields you nominate — typically availability, holds and reservations — and read-only for the rest. See the integrations directory for the systems already supported.
What if two salespeople try to hold the same unit?
The first hold wins and the second salesperson is told the unit is held, with the option to be notified if the hold expires. Because holds are enforced on the record rather than in a shared file, there is no window in which both appear to succeed.
Can different teams see different inventory?
Yes. Permission layers control which phases, price fields and client data each role sees, so an in-house team, an external brokerage and a management user can work from the same records with different visibility.

Related

See it against your own inventory

Bring one project. We load its masterplan and unit list, and you see your own homes as digital records before you decide anything.