After having spent the last 40 years in commercial construction management I am now devoting my energy to commercial development and sales. I plan to couple my development /construction experience to offer a complete financial investment package for my clients. My services consists of a "pre-purchase Cash Flow Analysis which includes:
- "Cash verses Leveraged" purchase analysis
- Before tax Internal Rate of Return
- After tax Internal Rate of Return
- 10 year itemized Income and Expense projection
- Financial options based on required ROI
- Calculation of Capital Gains on projected sales
- Before and after Tax "Sales Proceeds"
- Annual "before tax Cash on Cash" return
- Annual "after tax Cash on Cash" return
- Net Present Value of investment
- Acquisition Cap Rate and variables on proposed offer