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Forecasting After-Tax Cash Flow in Real Estate Analysis

Member price:

$59.00

Your price:

$ 99.00

8/30/2022

11 am PT / 12 pm MT / 1 pm CT / 2 pm ET
*approximate length: 45 minutes to 1 hour

Presenter: David G. Domres – CPM® Emeritus

Forecasting after-tax cash flow requires the orchestration of multiple income and expense classifications of investment real estate including income, capital expense, loan terms and conditions and timing. Join us as David Domres walks us through the basics.

Learning Objectives

  • Understanding Taxable Income
  • Capital Expense planning and impact of cost recovery
  • Loan terms and the effect of the interest rate
  • Taxes on Investment Real Estate

Mr. Domres is Vice President, Construction & Project Management, a position he has held since the IPO at Physicians Realty Trust in July 2013.

In this role, Mr. Domres oversees the asset management of our single-tenant properties while driving capital projects and sustainability strategies and execution for the entire portfolio. Previously, he was the Senior Vice President of Corporate Real Estate for US Bank and Senior Vice President of Asset and Property Management with a full-service real estate company.

Mr. Domres received the Louise L. and Y. T. Lum Award from the Institute of Real Estate Management and was the NAIOP 2013 Volunteer of the Year. He currently serves as an instructor for IREM and Marquette University.  Mr. Domres earned a degree in Architecture from Iowa State University.

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