Parking & Add-on Inventory
Manage parking slots, ad-hoc costs, cancellations, swaps and upgrades cleanly against each booking.
The problem teams live with
Parking bays, storerooms, terrace rights and club memberships are four to six per cent of project revenue, and they live in a separate spreadsheet maintained by one person. Two buyers are allotted the same bay. Add-on revenue is invoiced late, or not at all.
How Sell.Do solves it
Sell.Do treats add-ons as inventory. Bays, storerooms and rights have identity, price, availability and an allotment record, exactly like a unit. They attach to the booking, flow into the cost sheet and the ledger, and appear in absorption reporting — so the revenue that used to be an afterthought is billed on time and counted.
Parking & Add-on Inventory, step by step
- 1Parking inventory allocation
- 2Ad-hoc costs & charges
- 3Cancellations, swaps & upgrades
- 4Auto-updated ledger & cost sheet
Parking, storerooms and add-ons modelled as inventory — allotted, priced and billed with the unit.
Built for the real workflow
- Parking inventory allocation
- Ad-hoc costs & charges
- Cancellations, swaps & upgrades
- Auto-updated ledger & cost sheet
Jarvis spots the add-on nobody offered
Buyers of three-bedroom units above the twelfth floor take a second parking bay 61% of the time. This buyer was never offered one. Jarvis mentions it while the booking is still open.
More in Post-Sales & Collections
All Post-Sales & CollectionsBookings & Customer Management
A single record per customer from booking onward.
Learn moreDemand Letters
Auto-generate construction-linked demand letters.
Learn moreLedger, Payments & Receipts
A real-estate finance ledger, not a notes field — receipts with approval, interest, and online collection via Razorpay.
Learn morePayment Schedules & Milestones
Configurable construction-linked payment schedules that drive demands, interest and collections automatically.
Learn moreCredit Notes & Adjustments
Issue credit notes, adjustments and refunds with a maker-checker approval trail — clean books for finance and RERA.
Learn moreTaxes, TDS & GST
Tax, TDS and GST handled natively on bookings, brokerage and receipts — no spreadsheet reconciliation.
Learn moreFrequently asked questions
Because it has finite supply and a specific identity. A line item cannot be double-allotted; a bay can, and regularly is, when it lives in a spreadsheet.
See Parking & Add-on Inventory on your own pipeline
Book a 30-minute walkthrough tailored to your projects, team and process.
