REA/L Estate Analysis Software

Software For The Analysis of Investment Real Estate



This is an actual reproduction of part of the cash flow analysis. Again, the cash flow analysis starts with the STANDARD OPERATING STATEMENT. It is then followed with the INPUT SCREENS. The following cash flow analysis form is automatically calculated.

The blue cells are unprotected. In the program, you go to them, key in the information and everything is automatically calculated. As you can see, there aren't very many blue cells on the cash flow. Almost all of the input comes from the operating statement and the input of growth rates etc. The tax tables are built in and so are the cost-recovery (depreciation) tables.

The cash flow analysis form determines the cash flows before and after tax. At the bottom of this page, you can see the worksheet determines the internal rate of return AS IF it were sold at the end of each year. The calculation of the sale is on the SALE CALCULATIONS sheet. In the program, it is located directly below the screens pictured.

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