This is the Hub's skills library, part of how AI.Edge and the A.CRE Accelerator teach the practical application of AI in commercial real estate. Browse them to see how a skill changes your AI's behavior, then try them in Claude, ChatGPT, or Gemini.
Weekly roll-up of the active development pipeline. Aggregates sites under contract,
in entitlement, in design, in permitting, and in construction (by phase); tracks
TCO/delivery target dates,…
Corporate operations leader above regional managers. Owns operating policy, SOP library,
training standards, cross-regional performance, and coordination with asset management on
enterprise-level…
Produces a complete disposition preparation package: T-12 normalization, rent roll scrub, data room index, buyer Q&A, retrade defense, broker selection, marketing timeline, value story, and buyer…
Produces a comprehensive sell/hold/refinance analysis with market cycle positioning, tax impact quantification, marginal return on equity, buyer universe assessment, and 15 selectable disposition…
Generates a comprehensive acquisition strategy for distressed CRE assets acquired through REO, note purchase, special servicing, receivership, or bankruptcy. Covers compressed DD, valuation…
Generates individual LP distribution notices with per-investor share calculations, tax characterization, waterfall tier explanation, and batch processing for 50-200+ investors.
Reviews a draw package end to end before lender submission. Validates construction cost
to date, reconciles to the lender requisition, confirms lien waivers by vendor and
period, verifies insurance…
Evaluates first-time and second-time CRE fund managers for institutional LP allocation. Different benchmarks, operational DD emphasis, team pedigree assessment, and track record reconstruction from…
Assesses whether a proposed development is achievable under current zoning or requires discretionary approvals, quantifies entitlement risk (timeline, cost, probability), and calculates entitlement…
Preconstruction and estimating lead. Produces estimates at conceptual, schematic,
design-development, construction-documents, and GMP stages for ground-up and renovation
scope. Owns the…
Automates estoppel certificate population for CRE transactions. Performs three-way cross-reference (lease vs. rent roll vs. GL), flags every discrepancy before certificates reach tenants, generates…
Composes executive-grade operating summaries for board, LP, lender, and internal
executive consumption. Synthesizes property, asset, and portfolio outputs into a
narrative-first document with…
Monthly executive rollup of pipeline state for the residential_multifamily
subsystem. Aggregates Dealpath (deal pipeline), Procore (active development
pipeline), and Intacct (capex commitment…
End-to-end fund formation toolkit covering entity structuring (syndication vs. fund vs. REIT), PPM drafting guidance with Reg D compliance, GP economics and key terms, and K-1/tax coordination…
Top-level workspace for fund management and LP communications. Routes through fund formation, investor updates, pitch decks, capital raises, lifecycle management, compliance, performance…
Institutional fund management operations: regulatory compliance monitoring, fee calculations, capital account statements, subscription processing, AML/KYC, Form D filings, LPAC governance, and fund…
Tracks LP-by-LP capital raise negotiations with persistent state, models fee concession impact in real-time including MFN cascade analysis, and maintains a live ledger of blended fund economics as…
Compare fund terms against market norms and produce a terms comparison matrix with fee load analysis and negotiation recommendations. Benchmarks management fee, carried interest, preferred return,…
Calculate and verify funds flow, prorations, wire instructions, and the settlement statement for CRE acquisition closings. Branches by all-cash vs. financed (single tranche vs. multiple), 1031…
Analyze General Partner performance against vintage peer benchmarks. Computes fee drag (gross-to-net spread), DPI/TVPI/IRR vs vintage peers, deal-level return dispersion, key person risk, style…
Produces a complete investment committee memo from underwriting outputs: 1-page executive summary with risk-adjusted return framing, full 6-section IC memo body, sensitivity grids, and property-type…
Evidence-driven implementation intake workflow for residential multifamily and
related CRE operating environments. Guides sponsors, implementation leads, data
teams, operations leaders, and…
Insurance program review, coverage adequacy testing, contractor insurance verification, builder's risk/OCIP/CCIP evaluation, and property tax escrow management for AM, PM, and Development.
Pre-IC packet assembly for each IC cycle. Assembles the docket, pulls each
deal's memo and cross-references, tracks IC conditions from prior decisions
through to completion, consumes the sensitivity…
LP lifecycle management: investor meetings, benchmark comparison, cash management, audit coordination, re-up solicitation, GIPS composites, satisfaction tracking. Triggers: investor meeting, LP…
Designs, calculates, and explains joint venture equity waterfall structures for GP/LP partnerships. Three modes: Structure (term sheet from scratch), Calculate (distributions under specific…
Determines the maximum supportable land price by computing residual land value across multiple use types and selecting highest-and-best-use (HBU). Applies entitlement probability discounts, Linneman…
Diagnostic review of the leasing funnel from lead through move-in. Identifies where the
funnel is breaking (response time, tour conversion, application conversion, approval,
move-in), quantifies…
Extracts structured data from commercial lease documents (30+ fields), flags ambiguous provisions for legal review, cross-references amendments, and builds the critical dates calendar. The single…
Unified lease administration compliance audit covering CAM reconciliation, percentage rent verification, insurance tracking, escalation audits, and environmental compliance. Quantifies revenue…
Lease amendment drafting, standard lease template refresh, expansion/contraction option analysis, and build-to-suit proposal evaluation for Leasing and Asset Management.
Consolidates 8 complex lease negotiation scenarios into a single skill with scenario selector: (a) anchor replacement with co-tenancy cascade, (b) trophy tower backfill, (c) naming rights valuation,…
Designs optimal lease option packages (renewal, expansion, contraction, termination, ROFO/ROFR, purchase) for asset managers negotiating with tenants. Models what different option packages look like…
Top-level workspace for leasing workflows. Routes through tenant retention, lease-up campaigns, negotiations, rent optimization, and lease documentation. Manages persistent leasing context across…
Analyzes whether to renew an existing tenant or trade out for a new one with full financial comparison. Models renewal economics (lower TI, no downtime, known credit) vs trade-out economics (market…
Operationalize the first 12-18 months post-delivery of a new-construction or
gut-renovation asset: monthly tracker of lease-up velocity vs underwriting, concession
depth vs market, approval-rate…
Generates a full-stack lease-up operations plan for new developments, major vacancies, or acquisitions requiring rapid absorption. Covers funnel diagnostics, pricing/concession strategy, broker…
Funnel operator for a middle-market multifamily property. Owns lead-to-lease conversion,
tour quality, new-lease pricing within pricing-overlay bounds, renewal outreach cadence,
concession…
Front-of-house leasing operations: inquiry response, tour preparation, pipeline CRM management, space readiness coordination, listing management, commission tracking, and marketing ROI analysis.…
Marketing material creation, broker event planning, TI cost benchmarking, marketing plan development, and commission structure benchmarking for Leasing Directors.
Prepares quarterly lender compliance certificates using loan-specific financial metric definitions. Calculates NOI, DSCR, debt yield, and occupancy per lender docs, populates certificate forms,…
Review CRE loan documents for covenant compliance, carve-out exposure, cash management tripwires, and borrower obligations. Branch by loan type (agency, CMBS, bank, bridge, construction, mezzanine),…
Sizes CMBS and balance sheet CRE loans from raw property financials. Normalizes T-12 to lender-underwritten NCF, sizes against simultaneous DSCR/LTV/debt yield constraints, identifies the binding…
Generates a complete, copy-paste-ready Letter of Intent with negotiation strategy memo, three-tier pricing table, ten non-price levers, seller psychology brief, and broker cover email. Triggers on…
Generate structured data requests for Limited Partners to send to General Partners across all stages of the LP-GP relationship. Produces request templates for initial due diligence, quarterly…
Generates a complete LP pitch deck with slide-by-slide content, institutional-grade track record presentation, fee disclosure with worked waterfall examples, cycle positioning, and an investor…
On-site maintenance leader. Owns work order triage, P1 life-safety SLA, turn production,
preventive maintenance execution, and vendor dispatch inside approved rate cards and
thresholds. Routes…
Produces a comprehensive market cycle positioning report using the Mueller Real Estate Cycle model. Combines cycle timing analysis with capital markets intelligence (transaction volume, cap rate…
Generates structured CRE market research memos covering MSA, submarket, and sector-level conditions. Synthesizes supply/demand fundamentals, rent trends, cap rate movements, capital markets…
Checks freshness of market rent and concession references against overlay staleness
threshold; organizes a refresh plan (comp sources, shop list, 3rd-party export, submarket
coverage); produces the…