My firm started a new fund a little less than a year ago that gives us the ability to hold our multifamily developments longer (5-7 years). Historically we sold upon stabilization so an asset management system or reporting process was never really implemented.
We now have a few hundred units about to be delivered and everyone is looking at me to take on the asset management/investor reporting for these longer term deals.
Does anyone have a simple AM model that allows me track actual vs proforma and do some simple hold/refi/sell analysis? Im not looking for anything fancy I just don't want to start building this from scratch. Thanks in advance to anyone who is willing to share.