Need an excel spreadsheet created that will create two tiers of investors:
1. The Sponsor:
I need to be able to make the splits variable.
2. The Investor
I need to be able to make these splits variable too.
Asset Management Fee (%)
Other metrics (IRR, Profit Multiple, etc. See attached for examples).
The model should be able to allow us to show a sensitivity analysis *and* be able to show three scenarios on the final report tab should we decide to use any of them.
1. Straight Equity Cash
2. Debt (variables would be interest rate, term and LTV).
the asset for this would be single tenant NNN assets.
The format needs to be tight and neat and resemble those that are attached here. If should follow the same sequence.
Skills: management, analysis, model-sheets