Product Summary
The Industrial Feasibility Model with Cashflow Analysis is a custom-built financial model intended to support commercial property developers with their project decision-making and financial forecasting. This model provides developers with a versatile template to forecast project profits, analyse development returns, and Internal Rate of Return (IRR), while offering a transparent breakdown of forecasted project costs.
Designed as a flexible template, this model empowers developers to customise their analysis to suit the specifics of their projects effectively.