22 skills in Cross-Cutting Tools
Analyzes Freddie Mac and Fannie Mae agency multifamily quotes (lease-up and stabilized) into a decision-ready package.
Thin demo conductor that sequences the reusable CRE acquisition skills into one end-to-end Investment Committee workflow: data-room intake, document extraction, rent-roll…
Top-level workspace for ongoing asset management and property operations.
Top-level workspace for development and construction projects.
Top-level workspace for deal evaluation.
Lightweight deal underwriting for single-asset CRE transactions.
Converts a raw CRE data room (OM, T-12, rent roll, PCA, ALTA survey, leases, agency debt quotes) into a single typed fact table with per-fact sourceRefs, extraction confidence…
Executable orchestrator that turns tokenized/extracted CRE document content (rent rolls, T-12s, operating statements, Prose Frontier narrative artifacts) into validated, typed,…
Top-level workspace for fund management and LP communications.
Pressure-tests a deal recommendation before it reaches the investment committee.
Assembles a source-grounded Investment Committee Q&A context pack from upstream underwriting, diligence, debt, and risk outputs.
Top-level workspace for leasing workflows.
Generates structured CRE market research memos covering MSA, submarket, and sector-level conditions.
Meta workspace that helps users find the right workspace or specialist skill.
Transforms a tokenized/extracted operating statement (any line type: actual, budget, reforecast, prior-year; any period grain; monthly, quarterly, annual-summary, or…
Converts a Property Condition Assessment (PCA) into an underwriting-ready capital plan: immediate (Year 0) repair costs, a 10-year replacement-reserve schedule by building…
Administrative workspace for plugin configuration, diagnostics, and maintenance.
Extracts and structures comprehensive REIT profiles from 10-K filings, supplemental data packages, earnings call transcripts, and investor presentations.
Reconciles a normalized rent roll against a normalized T-12 on a stated, consistent basis (annualized contractual vs recognized accrual; collected cash out of scope) and never…
Transforms a tokenized/extracted rent roll into validated, typed, auditable, database-ready records: a multi-line charge schedule (base rent, CAM/tax/insurance recoveries,…
Entry point and router for the U.S.
Transforms a tokenized/extracted trailing-twelve-month operating statement into validated account-level monthly records.