The tools Fort + Home Capital uses to structure funds, manage investor relationships, and run institutional-quality distributions. Built for real fund managers and syndicators who answer to real LPs.
Multi-tier waterfall calculations with preferred returns, catch-up provisions, and promote splits. Audit-ready and investor-presentable.
Model your entire capital structure. Senior debt, mezzanine, preferred equity, and common equity layers with blended cost of capital.
Track IRR, equity multiples, DPI, and TVPI across individual investments and at the fund level. The same reporting Fort + Home Capital uses.
Quarterly investor updates with financial summaries, project updates, and distribution schedules. Professional, clear, and LP-ready.
Score potential acquisitions on 15+ criteria before spending time on full underwriting. Filter deals fast.
Compare term sheets side-by-side. Interest rates, fees, covenants, prepayment penalties, and total cost of capital across lenders.
Track distribution dates, amounts, tax allocations, and investor communications across multiple entities and funds.
The complete capital management system. Structure funds, report to investors, and run distributions like an institutional shop.
Budget trackers, draw schedules, project timelines, and cost management tools built on real projects.
Checklists, inspection trackers, environmental review logs, and closing coordination tools.
Comp databases, market reports, listing management, and pricing models built by brokers who also develop.