Fund Modelling Software

Optimise strategic planning and performance for your real estate investments

Real estate organisations can rely on detailed, flexible modelling and sensitivity analysis to gain competitive advantage and maximise risk-adjusted returns. Our real estate fund modelling software provides portfolio, fund and treasury managers a clear and accurate picture of historical, current and forecasted performance – its value, risk factors and constraint parameters. With powerful performance forecasting, transactional simulations and scenario testing, the software enables the crafting of data-driven strategic plans for more effective decision-making and enhanced portfolio performance.

A clear and accurate picture of fund performance


A powerful calculation engine, dynamic reporting and scenario analysis.

Risk management

Reduce errors and manage risk and exposure through standard reporting.

Business impact

Perform transactional simulations, scenario analyses and sensitivity testing.

real estate fund modelling software

Unrivalled portfolio insight with in-depth modelling at the fund level

  • Harness intuitive modelling functionality for complex fund structures, step-up and step-down events – with multi-tier waterfall capabilities.

  • Create winning strategies using a powerful calculation engine, dynamic reporting and scenario analysis.

  • Save time, prevent errors and work from one source of truth using a single repository for data and documents.

  • Manage strategic risk and exposure with robust standard reports and custom options.

  • Build stakeholder confidence with flexible, executive business intelligence and insight.

  • Integrate with a range of real estate and financial systems for even more efficient performance, visibility and collaboration.

A deep and connected modelling solution suite

Find out more

If you would like to find out more about MRI Fund Modeling, please get in touch today.