Our Services

Investment &

Fund Management

It’s all part of the process

At RCG, we ensure the highest level of professionalism is maintained throughout the entire development, investment and management process to provide best-in-class services to our clients.

Due diligence teams assembled for projects are generally well known to us, trusted by us and fully vetted for the client. All services are tendered to ensure we not only achieve the most competitive pricing in the market, but also to instil confidence that we are working with the most qualified partner for the project in hand.

The company and its employees have extensive experience executing our proven process with great success on behalf of a broad range of clients.

E

08 CONTINUAL ADVICE

ON MOST EFFECTIVE EXIT TIMING & STRATEGY

E

01 SOURCING OPPORTUNITIES

ON & OFF-MARKET VIA EXTENSIVE CONTACTS

C

02 STRUCTURING & DUE DILIGENCE

COMPETITIVE TENDERING ENSURING HIGH VALUE PARTNERS

B

07 REPORTING

ON MONTHLY & QUARTERLY BASIS

C

03 DEBT SOURCING & TENDERING

THROUGH CONTACTS FOR BEST TERMS

B

06 CONTINUAL MONITORING OF TAX IMPLICATIONS

OF THE OFF-SHORE STRUCTURE

D

05 PROPERTY & STRUCTURE MANAGEMENT

THROUGHOUT HOLD PERIODS

D

04 DUE DILIGENCE MANAGEMENT

NEGOTIATING & CLOSING 

C

01 SOURCING OPPORTUNITIES

ON & OFF-MARKET VIA EXTENSIVE CONTACTS

C

02 STRUCTURING & DUE DILIGENCE

COMPETITIVE TENDERING ENSURING HIGH VALUE PARTNERS

C

03 DEBT SOURCING & TENDERING

THROUGH CONTACTS FOR BEST TERMS

C

04 DUE DILIGENCE MANAGEMENT

NEGOTIATING & CLOSING 

C

05 PROPERTY & STRUCTURE MANAGEMENT

THROUGHOUT HOLD PERIODS

C

06 CONTINUAL MONITORING OF TAX IMPLICATIONS

OF THE OFF-SHORE STRUCTURE

C

07 REPORTING

ON MONTHLY & QUARTERLY BASIS

C

08 CONTINUAL ADVICE

ON MOST EFFECTIVE EXIT TIMING & STRATEGY

The Process in detail

01
SOURCING

 

Off-market opportunities

Direct involvement with developers, corporate occupiers and landlords to unlock opportunities

Knowledge of the markets to ensure it is priced correctly

Identifying any potential asset management plays to improve value

02
STRUCTURING

 

Best in class advice to be taken from international expert

SPV set up and integration with the hold co

Coordinate with advisory and legal teams the set up of efficient tax vehicles across jurisdictions

03
DEBT

 

Tendering to achieve the best possible debt terms in the market

Negotiation of all debt terms and facility agreement

Coordination of full KYC process

Post closing management of debt covenants

04
DUE DILIGENCE MANAGEMENT

Oversight of all DD providers

Evaluation of all reports

Risk analysis of any issues found

Negotiations with seller

Handover and closing in pre- agreed timetable

05
ASSET / INVESTMENT MANAGEMENT

Oversight of property manager

Regular meetings with tenants to ensure all is done to retain them

Regular strategy meetings with client

Ensure business plan is followed

All decisions to be made based upon the exit timing of the asset

06
TAX

 

Continual monitoring of legislation changes which may affect tax structuring

Mitigation of any potential tax issues

Contact with local administrators overseeing the SPV

Always have the exit in mind when making decisions

07
REPORTING

 

Bespoke reporting to the client in a pre- agreed timeframe

Includes both financial and property-related reporting

 

08
EXIT

 

Continual advice on property and market, ensuring the exit strategy is optimal

Exit strategy may be updated depending on external market fluctuations