Capital Markets & Debt

Term Sheet Builder

Draft and negotiate CRE financing term sheets from lender quotes.

build term sheetlender term sheetloan term sheetquote term sheet
Open GitHub source

No packaged download — skills install from the open-source plugin repo. Read the SKILL.md and bundled files below before you install.

How to install a skill →
01 · Problem

Draft and negotiate CRE financing term sheets from lender quotes.

Derived from the skill’s “Skill description” section.

02 · Who & When

Trigger on any of these signals:

  • Explicit: "draft a term sheet", "review this lender quote", "what should I negotiate", "structure this loan", "when should I lock the rate", "compare these quotes", "carve-out language", "IO period", "prepayment penalty", "guaranty structure"
  • Implicit: user provides a lender term sheet or quote indication for review; user needs to respond to a lender with counter-terms; user has a signed LOI and needs to move to financing documentation
  • Downstream signals: loan-sizing-engine has produced sizing output; capital-stack-optimizer has approved the debt tranche parameters; acquisition-underwriting-engine has confirmed NOI and DSCR

Do NOT activate for:

  • Pre-lender-selection sizing (use loan-sizing-engine)
  • Equity term sheets or JV preferred return structures (use jv-waterfall-architect)
  • Full loan document review after term sheet execution (use loan-document-reviewer)
  • Mezzanine intercreditor negotiation as a standalone task (use loan-document-reviewer)

Derived from the skill’s “When to Activate” section.

03 · How It's Done Today

Not documented yet for this skill.

04 · What This Skill Changes

Present results in this order:

  1. Quote Summary -- parsed economic and structural terms in table format; missing/unclear items flagged
  2. Validation Results -- DSCR, LTV, debt yield vs. lender minimums; stressed case if floating
  3. Term Sheet Draft -- formatted per Workflow 3; ready for lender markup
  4. Negotiation Priority Matrix -- top 5-7 terms with current position, target, market precedent
  5. Rate Lock Recommendation -- lock type, timing, cost, contingency
  6. Red Flags -- any flags from Workflow 7, severity-ranked
  7. Lender Comparison (if multiple quotes) -- matrix with weighted recommendation

Derived from the skill’s “Output Format” section.

05 · Risks & Caveats

Stale-data note: Spread benchmarks and IO period norms reflect mid-2025 market conditions. Agency program parameters (Freddie/Fannie limits, DSCR floors) change with each seller/servicer guide update. Bridge and construction pricing varies significantly with capital market conditions -- always verify against current lender indications.

Derived from the skill’s “stale-data note” section.