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New York School of Real Estate Finance

Euromoney Learning
Training overview
Professional Course
5 days

Course description

New York School of Real Estate Finance

Real Estate continues to attract the attention of funds, banks, corporates and investors looking for diversification and liability matching. However, cross-border investment and financing brings risks as well as opportunities. This advanced programme is designed as an integrated series of modules which will increase participants' understanding of today's complex and sophisticated process of real estate investment and finance. In addition to expert course instruction, delegates will benefit from a collegial atmosphere, with networking and information-sharing a valuable part of the course.

The programme's main objective is to give a thorough understanding of the most popular financing and investing structures, as well as the latest thinking in analytical techniques, in a changing capital markets context. Participants will consider frameworks for decision rules on major capital expenditure commitments in public and private real estate markets, both at the asset and portfolio level.The recognition and analysis of risk will be a component part of the program. The program covers many techniques and tools that can be applied to dealing with and resolving practical, everyday problems.

This is an intermediate level program covering:

  • Investment cash flow analysis
  • Public and private real estate vehicles
  • Debt and equity securitization and investment strategy
  • Corporate real estate finance and structured leasebacks
  • Risk and mitigation analysis
  • Use of debt in a real estate investment context

Who should attend?

This course is particularly appropriate for anyone who would like to understand real estate investment (debt and equity), and would be appropriate for:

  • Analysts and underwriters
  • Portfolio managers
  • Investment and commercial bankers
  • Fixed income professionals
  • Bank relationship managers
  • Real estate developers and investors

A good level of spoken and written English is required to attend this course. Delegates should be of an intermediate standard in English at a minimum. Please refer to the Common European Framework of Reference for Languages - as a guide the level required is B2. 

Training content

A 5-day practical programme with case studies and integrated cash flow modelling for analysts, investors, financiers, developers and advisors.

  • Property performance measurement and analysis
  • Evidence of cycles in property markets
  • Developing cash flow models
  • Investors' approach to different types of property vehicles
  • Core vs. developing vs. emerging markets
  • Sector analysis: office vs. retail vs. leisure
  • Corporate finance decisions and real estate
  • Lease/buy leaseback/structured leaseback decisions

Certification / Credits

By the end of the five days, participants will be able to:

  • Understand the interpretations of industry and property cycles
  • Know how to interpret lease contracts
  • Choose an appropriate legal structure
  • Assess the cash flow adequacy of projects
  • Create a viable capital stack for a project
  • Identify risks and create a risk mitigation analysis

About Euromoney Learning

Euromoney Learning

At Euromoney Learning, we understand that learning doesn’t start and end when you leave the classroom. We know that the financial markets never stand still, and that technology has both simplified and added complexity at a break-neck pace. That’s why...

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