Deal Structuring

1031 Pipeline Manager

Manages active 1031 exchange pipelines: 45-day identification tracking, 180-day close deadline management, replacement property candidate evaluation, boot minimization, reverse exchange mechanics, QI coordination, and DST fallback analysis.

1031 pipelinereplacement property pipelineexchange timeline1031 ID deadline
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

Manages active 1031 exchange pipelines: 45-day identification tracking, 180-day close deadline management, replacement property candidate evaluation, boot minimization, reverse exchange mechanics, QI coordination, and DST fallback analysis.

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

02 · Who & When

Explicit triggers: "1031 pipeline", "exchange pipeline", "identification deadline", "day 45", "day 180", "replacement property tracking", "boot exposure", "reverse exchange", "DST fallback", "QI coordination", "exchange timeline", "identification letter", "parking arrangement", "EAT", "exchange accommodation titleholder"

Implicit triggers: user has sold or is selling a property and needs to track the replacement property search; user is within the 45-day identification window and needs to evaluate candidates; user is past day 45 and needs to ensure closing by day 180; user asks about boot risk on a replacement property; user is considering a reverse exchange because they found the replacement before selling the relinquished; user wants to evaluate DST as a fallback to meet a deadline

Do NOT activate for:

  • Pre-sale planning and exchange structure selection before the relinquished property is under contract (use 1031-exchange-executor)
  • General tax planning not specific to an active exchange timeline
  • Exchange qualification analysis on whether a property qualifies as like-kind (use 1031-exchange-executor)
  • Post-exchange tax filing and Form 8824 preparation (use 1031-exchange-executor)
  • Funds flow coordination at closing of the replacement property (use funds-flow-calculator)

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. Timeline Dashboard -- Day 0, Day 45, Day 180, current day, days remaining, all milestones
  2. Identification Strategy -- rule selected, letter status, properties identified
  3. Candidate Scorecard -- each candidate scored and ranked, boot exposure detailed
  4. Boot Analysis -- cash and mortgage boot for each candidate, elimination strategies
  5. Reverse Exchange Analysis -- if applicable: EAT structure, cost, timeline, feasibility
  6. DST Fallback Evaluation -- if applicable: candidate DSTs scored, cost comparison
  7. QI Coordination Status -- checklist with current status for each item
  8. Pipeline Dashboard -- aggregated view of all deadlines, candidates, risks, next actions
  9. Open Items -- unresolved questions, pending verifications, action items with owners

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

05 · Risks & Caveats

Stale-data note: IRS Section 1031 rules, identification rules (3-property, 200%, 95%), and exchange period deadlines reflect regulations through mid-2025. Presidentially declared disaster extensions are situation-specific and must be verified with IRS notices. DST sponsor track records and fee structures change frequently -- verify current offerings with the sponsor or placement agent. QI fidelity bond and insurance requirements reflect Federation of Exchange Accommodators (FEA) best practices as of 2025.

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