This comprehensive Excel financial model template is designed to forecast the future performance of a Property Management company. It includes the following features:
Forecast revenue based on number of customers and number of properties per customer
Project new customer signups via both paid and organic channels
Understand Gross Profit by forecasting direct costs as a function of properties serviced
Detailed personnel forecast broken down by role and department
Incorporates operating expense forecasts to get a comprehensive view of profitability
Forecast PP&E and other balance sheet items to get an accurate picture of cash flow
Thorough tax forecasting, accounting for deferred tax assets and timing of payments
Key Metrics overview including # of customers, # of properties serviced, customer acquisition costs, customer LTV, headcount by department, and more