A financial model is the heart of any successful investment or development project. As deals have reached increasing levels of complexity, they require a precise and accurate level of analysis.
Unlike a software vendor, we are platform neutral and tailor the solution to the client instead of the other way around. The models that we deliver to our clients are not “canned”; they are unlocked, reusable, and may be modified by the client at their discretion.
Regardless of deal size, our key objective is always to build highly functional and automated models that may be controlled from a clearly defined set of input assumptions.
We can also review, audit, and analyze an investor’s existing financial models for inaccuracies and inefficiencies. We can then optimize the client’s model to make it run faster, implement new functionality, and make it a more powerful analytical tool.
We have worked on a wide range of projects that vary in both size and complexity from a single acquisition to complex mixed-use multi-phase developments.