PCVI monitors portfolio operations, initiate operational benchmarks, refinancing and rehabilitations as necessary to ensure long term viability of properties. This includes budget monitoring and quarterly financial reviews. We work closely with property management companies to assess financial performance relative to long term strategic plans.
PCVI develops and monitors property cash flow projections, reserve accounts, capital plans and reports prepared by property management companies for investors. We review existing financing and plan strategic refinancing. PCVI monitors market and submarket trends to determine optimal exit strategies.