Features

Model multiple scenarios

Determine your optimal deal structure by modelling multiple contract debt scenarios and compare results.

Improve decision-making

Analyse debt positions and get instant insight into liquidity positions and refi opportunities to make better business decisions.

Holistic visibility

Instantly view lender obligations, debt maturity and exposures with forecasted cashflows at a consolidated level.

Central repository

Get a single integrated repository for all your debt contracts.

Optimise your debt position and mitigate risk

Managing, modelling and analysing your real estate debt in spreadsheets creates operational and financial risk. To make informed funding and investment decisions for your firm, you need the ability to quickly and accurately model your debt. MRI real estate Debt Modelling is designed to analyse the impact of potential investments at the asset and portfolio level to help build your strategic plan. With a central repository for all debt contracts, a sophisticated debt calculation engine and powerful forecasting and reporting, Debt Modelling gives you a comprehensive view of your debt position and helps you better manage your risk.

Advantages

  • Save time and increase efficiency with high-level, in-depth holistic analysis.

  • Automate your workflows using source data and structured account mapping.

  • Determine your optimal deal structure by modelling multiple contract debt scenarios.

  • Make better business decisions with instant insight to liquidity positions and refi opportunities.

  • Instantly view lender obligations, debt maturity and exposures with forecasted cashflows at a consolidated level.

  • Make informed business decisions with a single integrated repository for all your debt contracts.

Find out more

If you would like to find out more about our Debt Modelling software, please get in touch today.