About 1031 Exchange Denver
Focused on 1031 exchange execution in Denver, CO
We help investors identify replacement properties, coordinate underwriting, and guide every partner through the 45 and 180 day deadlines. We are not a Qualified Intermediary, brokerage, law firm, or CPA. We work beside those professionals to keep each exchange compliant and organized.
Secure intake
Every request enters an encrypted workflow. We confirm sale status, gain exposure, debt targets, and intermediary selection before sharing documents.
Property matching
We maintain a research bench covering multifamily, industrial, retail, medical, and land assets across the Front Range. Data packs include rent rolls, trailing twelve statements, and lender-ready comps.
Partner coordination
Attorneys, CPAs, lenders, and Qualified Intermediaries receive synchronized updates. We monitor the calendar and log every milestone.
How our process works
1. Intake call
Establish relinquished sale timing, targeted basis, financing expectations, and risk tolerances.
2. Identification plan
Draft three property and 200 percent rule strategies with backup assets. Deliver letters for intermediary signature.
3. Execution
Coordinate diligence, lender conditions, and closing statements. Prepare reporting packets for your CPA.
Why we exist
Wide execution gaps remain between Qualified Intermediaries, lenders, attorneys, and investors. We fill that gap with disciplined project management, underwriting support, and transparent communication.
You maintain direct relationships with your legal, tax, and brokerage teams. We keep everyone aligned with the IRS calendar.
Request a consultation
Complete the secure form. We respond within one business day.