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BPM Suite® for Real Estate
Revelwood's BPM Suite for Real Estate is an out-of-the-box planning
and reporting solution for real estate investment trusts (REITs)
and property management firms. The solution is an extension of Revelwood's
standard BPM Suite, running on the IBM Cognos TM1 platform.
In addition to all the pre-built functionality of Revelwood's
BPM Suite, the BPM Suite for Real Estate also includes modules for
property development, property acquisition and distribution, rent
roll, loan and equity. These modules enable planning and reporting
on KPIs such as NOI, rent roll, occupancy, discontinued operations
and more.
Revelwood's BPM suite for Real Estate has helped REITs and property
management firms integrate the impact of property management decisions
on financial results. The system utilizes key drivers to streamline
business planning and model real world events, like impacts to KPIs
and line of credit balances. The system also supports the many nuances
of SEC reporting such as discontinued operations and same store
and 1031 exchange inventories. The extensive pre-built and customizable
business logic in the solution allows efficient planning and monitoring
of properties for improved portfolio performance.
Benefits
- Integrates budgeting, forecasting,
long-range planning, financial reporting, and operational analysis
into a single solution
- Built on customer-driven best practices
developed from over 100 client implementations
- Includes pre-built models, processes,
business logic, workflow, templates and reports to streamline
the implementation process
- Offers a suite of tools for end users
and administrators that provides enhanced functionality, speed
and ease-of-use – enabling business users to work smarter and
faster
- Ensures a high degree of end user
participation in the budgeting, forecasting, and reporting processes
- Provides management visibility into
business performance problem areas and enables streamlined communication
and the ability to take quick, corrective action
Features
- Core financial data model that supports
a complete chart of accounts (financial and non-financial) including
Operating expense and line item detail planning, with commentary
collection
- Staff planning by named employee or
employee groups/grade levels
- Customizable portals and personalized
application menus and navigation
- Enhanced reporting and template development
tools with report packaging and distribution that supports SEC
reporting requirements
- Data management and administration
tools
- Driver-based calculations (e.g., move
in dates, CPI rent adjustments)
- REIT specific modules including acquisition
and disposition, development and rent adjustments
- Tracks detailed equity transactions
by date of issue and automatically calculates weighted average
shares outstanding MTD, QTD, and YTD based on date of issue
- Comprehensive line of credit reporting
and tracking
- Robust loan module
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