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.
Coordinates the handoff from deal close to an operating asset. Fires when Dealpath
emits the deal-close event (Handoff 1 + Handoff 3 in
reference/connectors/_core/stack_wave4/lifecycle_handoffs.md).…
Full-cycle acquisition underwriting engine. Takes a deal package (rent roll, T-12, OM, financing terms) and produces institutional-quality output: T-12 normalization, 10-year proforma, Linneman cap…
Produces institutional-quality annual operating budgets with IREM/BOMA benchmarking, component-specific escalators, NOI sensitivity grids, budget-to-value linkage, reserve adequacy testing, and IC…
Top-level workspace for ongoing asset management and property operations. Routes through budgeting, performance monitoring, capex, NOI optimization, compliance, maintenance, and vendor management.…
Normalizes and levels bids received for a defined scope. Performs apples-to-apples
comparison across bidders by adjusting for included/excluded scope, allowances,
alternates, and qualifications.…
Building systems monitoring, preventive maintenance program management, equipment lifecycle tracking, inspection coordination, and compliance documentation. Covers HVAC, elevator, fire/life safety,…
Evaluates competing capital expenditure projects using IRR/NPV, interaction effects, residual value at disposition, covenant impact, replacement cost benchmarking, and 'do nothing' deferral cost…
Conducts building-level carbon audit, benchmarks against local Building Performance Standards (NYC LL97, DC BEPS, Boston BERDO 2.0, Denver, Colorado, Maryland, St. Louis), calculates penalty…
Generates and tracks comprehensive closing checklists for CRE transactions (acquisitions, dispositions, refinancings). Backward-schedules deadlines from closing date, assigns responsibilities,…
Validates certificates of insurance against lease and contract requirements. Compares coverage types, limits, endorsements, and expiration dates field-by-field, flags deficiencies, and generates…
Produces a fast, credible comparable analysis (rent comps and sales comps) for active deals, appraisal reviews, or pricing validation. Includes adjustment grids, confidence scoring, effective rent…
Building code violations, OSHA responses, ADA compliance, fire safety, environmental compliance during construction, entitlement tracking, community stakeholder communication. Triggers: code…
GC selection, bid leveling, GMP/lump sum negotiation, CO compliance, punch list management, and design team evaluation for Development Managers.
Central command for ground-up development and major renovation projects. Manages RFIs, submittals, change orders, draw requests, schedule tracking, safety compliance, and lender reporting. Triggers…
Evaluates whether a cost segregation study is worth pursuing for a CRE property by estimating reclassifiable components, quantifying PV of accelerated depreciation, modeling recapture at…
Recomputes cost-to-complete from current actuals plus remaining scope plus overlay-derived
escalation and contingency. Compares against prior CTC and the underwriting baseline.
Identifies the driver…
Calculates CPI rent escalations per lease-specific clause definitions, handles year-over-year, cumulative-from-base, and compounded methods, applies floor/ceiling logic, generates tenant…
Generates a comprehensive, timeline-driven due diligence plan for commercial property acquisitions with 6 workstream checklists, risk matrix, third-party report ordering guide, decision gates,…
Tracks deal-level performance attribution and GP carry across a multi-deal fund: realized vs unrealized returns, carry waterfall across full fund, clawback exposure, deal team attribution, and GP…
Lightweight deal underwriting for single-asset CRE transactions. Computes going-in cap rate, stabilized cap, CoC return, DSCR, levered/unlevered IRR, equity multiple, and breakeven occupancy. Runs…
Calculates DSCR, LTV, occupancy, and debt yield per loan-specific definitions, projects forward to catch breaches before they happen, and generates lender compliance certificates.
Coordinates the transition from construction delivery to operating asset. Fires
on Procore schedule_milestone `temp_co_received` or `final_co_received` (with
units_ready_for_lease >= 1), or on…
Builds a full ground-up development pro forma at monthly granularity from land closing through construction, lease-up, and stabilization. Produces TDC budget, monthly draw schedule with compounding…
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,…
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…
Generates a comprehensive acquisition strategy for distressed CRE assets acquired through REO, note purchase, special servicing, receivership, or bankruptcy. Covers compressed DD, valuation…
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…
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…
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,…
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…
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…
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…
Unified lease administration compliance audit covering CAM reconciliation, percentage rent verification, insurance tracking, escalation audits, and environmental compliance. Quantifies revenue…
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,…
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…
Prepares quarterly lender compliance certificates using loan-specific financial metric definitions. Calculates NOI, DSCR, debt yield, and occupancy per lender docs, populates certificate forms,…
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…
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…
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…
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…
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…
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…
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…
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…