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Cash Flow Analysis & Project
Proforma - Zimmerman Group has
experience preparing project cash flows and proformas to
assist clients understand the feasibility of any
project. Our cash flow modeling provides the flexibility
for various scenarios to assist in analyzing changing
land use assumptions. Among other things, our cash flows
identify anticipated revenues, land and development
costs, loan and equity requirements, interest reserve
requirements, lender and/or investor IRRs, and overall
project profitability.
Zimmerman Group's preparation of project
cash flows and proformas considers all factors and
assumptions impacting a project's revenues and costs such
as fee credits and reimbursements, land
secured financing proceeds, infrastructure phasing
options, and cost sharing arrangements.
Entitlement
Services -
With development standards continuing to get more
stringent, the conditions placed on projects seeking
land use approvals can sometimes be prohibitive and/or
overbearing. These types of conditions may be in the
form of oversized infrastructure requirements or ongoing
charges for public services that go far beyond the need
or obligation of the proposed development.
Zimmerman Group works with public
agency staff to identify solutions for phasing
and allocating infrastructure burdens and/or charges for
services. These solutions are then implemented through the project conditions
of approval, specific plan documents, or memorandums of understanding
(MOUs) with agency policy makers.
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