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.
Evaluates competing capital expenditure projects using IRR/NPV, interaction effects, residual value at disposition, covenant impact, replacement cost benchmarking, and 'do nothing' deferral cost…
Executive leader with full authority inside the fund mandate; routes items above mandate
to board / IC. Consumes rollups from COO (operating decisions) and CFO (finance decisions);
consumes…
Executive finance leader. Consumes reporting_finance_ops_lead rollups, portfolio_manager
rollups, and asset_manager covenant views. Owns treasury posture, covenant-cushion decisions,
refi / recap /…
Emergency response for CRE special situations: environmental remediation, condemnation, tenant bankruptcy, partnership disputes, fund wind-down, side letter negotiation. Triggers: crisis,…
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…
Builds and maintains an institutional-quality CRE debt fund portfolio monitoring framework. Produces traffic-light dashboard, watchlist with objective triggers, maturity wall analysis, concentration…
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…
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…
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 structured CRE market research memos covering MSA, submarket, and sector-level conditions. Synthesizes supply/demand fundamentals, rent trends, cap rate movements, capital markets…
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…
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…
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…
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…
Portfolio-level quarterly review covering same-store trend, market concentration,
watchlist distribution, capex progress, lease-up status, forecast discipline, covenant
posture, and fund-level…
Finance operations and reporting leader. Owns the close calendar, variance reporting,
forecast accuracy measurement, covenant calculations, investor / lender reporting
packages, and…