TFA Blogs
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5 Steps to Assess Refinancing Risk in CRE
Learn essential strategies to assess and manage refinancing risks in commercial real estate, especially amid rising interest rates and maturing loans.
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When to Capitalize Real Estate Development Costs
Learn when to capitalize real estate development costs for accurate financial reporting and compliance with GAAP, including key stages and guidelines.
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Cash-on-Cash Return Formula Explained
Learn how to calculate cash-on-cash return in real estate investing and understand its significance for cash flow analysis.
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How to Value Ground Leases Using Capitalization Rates
Learn how to accurately value ground leases using capitalization rates and understand the factors influencing their valuations.
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Checklist for Reporting Foreign REIT Income
Navigating U.S. tax rules for foreign REIT income is complex; learn essential reporting requirements to maximize returns and avoid penalties.
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Ultimate Guide to Return Metrics in Commercial Real Estate
Learn essential return metrics in commercial real estate, including NOI, cap rate, and IRR, to improve investment decision-making.
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What Is Mezzanine Financing in CRE?
Learn how mezzanine financing bridges gaps in commercial real estate funding, balancing risk and returns for developers seeking capital.
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Best CRE Software for Cash Flow Forecasting in 2025
Explore essential features and emerging technologies in cash flow forecasting for commercial real estate professionals in 2025.
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Checklist for Mitigating Waterfall Promote Risks
Learn how to mitigate risks in waterfall promote structures with a structured checklist, effective monitoring tools, and clear communication strategies.
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Ultimate Guide to Conditional Formatting in CRE
Unlock the power of conditional formatting in commercial real estate to enhance analysis, streamline reporting, and improve decision-making.









