
Build on certainty.
Before a shovel hits the ground, we stress-test every assumption so you can move forward—or walk away—with full confidence.
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Market & demand validation – We analyse demographics, absorption rates and competitor pipelines to confirm there’s real appetite (and price tolerance) for what you plan to deliver.
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Highest-and-best-use modelling – Multiple layout, density and use-mix scenarios are run through financial models to identify the option that yields the strongest return at acceptable risk.
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Comprehensive site due-diligence – Planning overlays, service capacities, contamination, easements and latent conditions are mapped early, so hidden constraints don’t blind-side your budget later.
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Order-of-cost estimates – We combine benchmark data with live supplier pricing to establish a reliable CAPEX baseline, including soft costs, escalation and contingency allowances.
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Dynamic financial modelling – Detailed cash-flows, IRR/NPV outputs and sensitivity analyses let you see how land price, build cost, interest rates or sales velocity affect profit.
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Funding & exit strategy – We outline viable debt/equity mixes, pre-sale or pres-lease triggers and alternative exit routes, ready for lender scrutiny.
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Risk, ESG & insurance screening – Climate resilience, ESG premiums and insurability are assessed so you’re not left with a stranded or uninsurable asset.
Deliverable: a bank-ready Feasibility Report plus a live Excel model you can pivot in real time during board or lender meetings—turning gut feelings into data-driven decisions.
