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Asset Management

Manage your assets efficiently and evaluate whether an asset contributes to your portfolio goals. Where are the opportunities for improvement? How do your returns compare with the market? Our software gives you insight into financial KPIs at the asset and contract level.

Benchmarking

Asset managers often require quick and reliable insight into the comparative performance of their assets. How are returns, rental income, vacancy rates, and values developing per asset? How do these KPIs compare to similar assets? Our solution provides this clarity. Easily analyse asset performance and optimise your policies.Gain insight into financial KPIs at both the asset and contract levels, based on expiry management, income, and expenses. Compare these with historical performance and actuals. The financial structure is fully customisable to align seamlessly with your investment policy. 

Get a clear, organized view of your portfolio with smart asset grouping, making it easy to track performance and manage investments efficiently.

Visualize turnover trends and privatisations at a glance, helping you track changes and make informed decisions effortlessly.

Our scenario planning tools allow you to simulate future investments or market changes and make smarter decisions.

Cash flow at any level 

Gain reliable insight into all historical and future financial overviews like cash flows, balance sheets, and profit and loss statements. Act early when adjustments are required. Easily enter all OPEX and CAPEX costs, as well as revenue outside of contract management. Each cash flow entry and calculation are fully customisable for your organisation, allowing you to configure cash flows exactly as you need them. 

With these powerful features, you will always have insight into your financial flows, enabling strategic planning and better returns:

Automatically generate current and future cash flow statements, profit and loss statements, and balance sheets at both asset and contract levels, which are then aggregated into a portfolio overview.

Define cash flows such as taxes, maintenance, or costs associated with contract renewal, termination, or vacancy. 

Calculate costs using different indexing methods and set expectations for future index series.

Link costs to general ledger accounts and import historical data for a complete view of past, present, and future performance.

If you have a predefined future cash flow (e.g., the MYMB), you can easily import it. 

Graphically display the performance of your assets, taking into account investments, divestments, incentives, and market trends. Simulate terminal values for flexible forecast periods using different methodologies.

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