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.
Structures mezzanine debt and preferred equity positions in the CRE capital stack. Sizes and prices subordinate tranches, drafts intercreditor frameworks, models downside recovery, builds cash…
Stochastic simulation engine for CRE returns. Distributional inputs (not just point estimates), correlation matrices, 1000+ trial simulation, percentile return reporting, probability of loss, and…
Ownership-side monthly review. Synthesizes property-level operating output into asset
plan reality check: variance to budget and reforecast, covenant view with cushion and
breach risk, watchlist…
Monthly property scorecard and narrative. Synthesizes operating, leasing, collections,
maintenance, and financial variance into a single review pack for the PM, regional,
and AM. Invokes child…
Coordinates every step from lease execution to resident in the unit. Confirms move-in
readiness, generates document packets per jurisdiction overlay, schedules utility
transfers, produces welcome…
Coordinates every step from notice-to-vacate through unit transfer to the turn workflow.
Produces the move-out inspection checklist, assembles the final ledger and
statutorily-compliant…
Meta workspace that helps users find the right workspace or specialist skill. Runs the catalog-driven router and presents options. Acts as the default entry point for any CRE request that does not…
Generates a 90-day operational sprint plan to stabilize property operations and raise NOI through collections discipline, turnover acceleration, leasing velocity, and resident retention. Includes…
Deconstructs an offering memorandum to expose the broker's embedded assumptions, reverse-engineers the purchase price needed to hit target returns, and produces a defensible bid range. Triggers on…
Evaluates whether investing capital gains into a Qualified Opportunity Zone Fund produces superior after-tax returns vs. a non-OZ alternative. Quantifies deferral, 10-year exclusion, compliance…
The plumbing for every gated action. Takes a pending `ApprovalRequest` and routes it to
the correct approvers per the approval matrix row and org overlay, tracks SLA, and
records the outcome to the…
Structures and models Section 704(b) tax allocation provisions for real estate partnerships. Covers capital account maintenance, operating income/loss allocation, depreciation allocation, minimum…
Decomposes fund or portfolio returns into income, appreciation, leverage, and alpha components. Attributes performance by vintage year, property type, and manager skill vs. market movement. Includes…
Weekly review of every deal in the pipeline by stage (sourcing, loi_signed,
psa_signed, ic_approved, debt_term_sheet, close, funded). Produces a
stage-by-stage scorecard, flags stalled deals beyond…
Administrative workspace for plugin configuration, diagnostics, and maintenance. Routes to brand configuration, usage stats, feedback, problem reporting, catalog validation, router diagnostics, and…
Portfolio-level allocation engine that maps current holdings by property type, geography, risk profile, and vintage year against institutional targets, identifies over/under-weights, runs…
Portfolio- and fund-level leader. Aggregates asset_manager outputs into portfolio performance
and strategy. Owns portfolio concentration, same-store growth, debt-ladder posture, and
investor-facing…
Post-acquisition asset onboarding to property management, TI project coordination, and development-to-stabilization transition bridging Acquisitions, PM, and Development.
Pre-close shadow setup. Fires at IC approval (Handoff 1 in
reference/connectors/_core/stack_wave4/lifecycle_handoffs.md) before the deal
actually closes. Creates placeholder property in AppFolio…
Per-deal closing discipline. Tracks PSA / financing key-date countdown
(LOI expiry, PSA expiry, DD period end, financing contingency, close
target, tax lookback), open contingencies and their…
Deep property management command center that orchestrates all PM workflows across any asset type. Single entry point for tenant relations, maintenance operations, financial operations, vendor…
Site-level operator of a middle-market multifamily property. Owns daily operations,
the resident experience, the leasing and renewal funnel, maintenance triage, rent
collection, and site expense…
Operational administration for CRE properties: parking, common area inspections, landscaping, janitorial, work orders, tenant surveys, after-hours calls, directory management. Triggers: property…
Produces monthly or quarterly property performance reports with T-12 trend analysis, budget variance escalation triggers, tenant health indicators, delinquency aging, same-store NOI tracking, and a…
Evaluates whether a property tax assessment should be appealed, quantifies overassessment using income and sales comparison approaches, calculates tax savings and ROI, and drafts the appeal brief…
Analyzes a Purchase & Sale Agreement draft, identifies problematic provisions, and produces a risk-tiered redline strategy with specific markup language, negotiation talking points, and a battle…
Generates professional, LP-ready quarterly investor update letters with portfolio-level attribution, per-asset performance summaries, NAV methodology disclosure, distribution reconciliation, market…
Portfolio-level quarterly review covering same-store trend, market concentration,
watchlist distribution, capex progress, lease-up status, forecast discipline, covenant
posture, and fund-level…
Comprehensive refinancing and maturity risk analysis combining borrower-side decision-making (hold vs. refi vs. sell vs. extend vs. walk away) with lender-side gap analysis, extension feasibility…
Produces a reforecast that inherits actuals through the as-of month, preserves or revises
forward-looking assumptions with citation, and surfaces the delta vs. budget and vs.
prior forecast.…
Multi-property operations leader covering a portfolio region. Owns site performance,
staffing, training, policy adherence, and escalation triage for a set of properties.
Consolidates site…
Extracts and structures comprehensive REIT profiles from 10-K filings, supplemental data packages, earnings call transcripts, and investor presentations. Produces standardized property-type profiles…
Plans, prices, and executes the renewal cycle for leases in the renewal-offer window.
Segments expiring leases into pricing tiers, computes per-tier offers using
market_to_lease_gap and prior…
Ingests inbound rent comp observations (shopped, 3rd-party, operator-reported), validates,
normalizes, proposes updates to market_rent_benchmark files, and opens an approval if
the magnitude delta…
Quantitative rent optimization framework with loss-to-lease waterfall analysis, renewal probability modeling, effective rent NPV comparison across aggressive/moderate/retention strategies, valuation…
Ingests raw rent rolls (pasted table, CSV, or PDF extract) and produces a clean dataset with layered analytics: rollover schedule, mark-to-market waterfall, tenant concentration risk, WALT, rent…
Standardizes rent roll data from any source format into a consistent underwriting template, validates data integrity (SF reconciliation, revenue reconciliation, date consistency, rent…
Finance operations and reporting leader. Owns the close calendar, variance reporting,
forecast accuracy measurement, covenant calculations, investor / lender reporting
packages, and…
Entry point and router for the U.S. residential multifamily operating subsystem.
Classifies a request along 10 taxonomy axes and dispatches to the appropriate role,
workflow, overlay, and reference…
One paragraph: what the role does and when it triggers.
Reviews current schedule against baseline, identifies critical-path risks, recomputes
completion and stabilization probability, and routes a rebaseline proposal when
warranted. Integrates with…
SEC Regulation D compliance for CRE syndications: 506(b) vs 506(c) offering selection, accredited investor verification, Form D filing, state blue sky compliance, general solicitation rules, and…
Takes a completed base case underwriting and produces comprehensive sensitivity analysis, stress testing, and breakeven analysis. Generates tornado charts, multi-dimensional sensitivity grids,…
Daily property management operations for self-managing landlords and small operators (1-50 units). Tenant screening, rent collection, move-in/move-out inspections, maintenance scheduling, unit…
Full-lifecycle CRE deal sourcing engine: target identification, lead scoring (0-100), multi-channel outreach (mail, call, email, LinkedIn), broker relationship cultivation, CRM pipeline schema, and…
Multi-agent orchestrator for property managers planning space redesigns, repositioning, and amenity additions. Spawns specialist subagents for space programming, cost estimation, design mockups,…
Generates text-based stacking plans from rent rolls, providing floor-by-floor visual layout of tenant occupancy, lease expiration, contiguous availability analysis, rollover concentration, and…
Produces a decision-grade submarket brief that strips broker narratives to reveal what is actually happening in a market. IC-memo-ready output with no-fluff mandate, range-based forecasting, supply…
Produces a forward-looking supply/demand analysis for a specific submarket and property type. Combines quantitative pipeline tracking with disruption overlays (PropTech, ESG/climate, insurance…
Normalizes trailing 12-month operating statements for CRE acquisition underwriting. Removes one-time items, reprices below-market contracts, adjusts for tax reassessment, grosses up for vacancy,…