Corporate Finance Transactions/Deals Modelling

Hi All,

I've just started working at a CorpFin for Real Estate team. I've got a deal coming up and am not sure how to model a corp. transaction.

I understand it to be model out asset level cash flows and roll-up  . Anyone shed an y detailed breakdown or examples/point me in the right direction of a book etc.?

You get to NOI or to Levered Cash Flows for each asset - is it a case of rolling this  up and then calculating the enterprise value etc. etc.

Thank you for your help.

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