I need help building a simple office cash flow projection
Budget: $30 – $250 USD
Please create a cash flow model for the purpose of finding levered and unlevered returns for a proposed
office acquisition. The asset in question, is assumed to be purchased on 9.1.2022 and held for 5 years. In
an attached excel spreadsheet you will find asset, market, leasing, and financing assumptions to help
you build your cash flows.
office acquisition. The asset in question, is assumed to be purchased on 9.1.2022 and held for 5 years. In
an attached excel spreadsheet you will find asset, market, leasing, and financing assumptions to help
you build your cash flows.