← Cane Capital
Waterfall & Fee Manager
Cane Capital Asset Management
Point Park ▼
Saved
Saved
Documents
Holding entity and investor files. Property, lease, insurance, loan, tax and CapEx documents live on their own tabs.
Leasing
Active deal lease roll, expirations, rent, options, and documents.
Retail lease expiration scheduleWALT —
Tenant / UnitTypeLease termRentStatusOptions / NotesDocsActions
CapEx tracker
All CapEx projects across the portfolio.
ProjectPropertyCategoryStatusBudgetActualTimelineDocsActions
Insurance policy tracker
Current policy, renewals, expirations, premiums, deductibles, lender requirements, and policy files.
PoliciesRed/amber dates are renewal safeguards.
TypeCarrier / BrokerPolicy #ExpirationRenewal DuePremiumLimitDeductibleStatusActions
Property tax tracker
Installments, due dates, payment status, paying account, and reimbursement.
Tax billsRed/amber due dates flag delinquency risk.
Parcel / APNYearTotal1st installment2nd installmentReimbursedActions
Property profile
Changes save automatically
Saved
📷
Click to upload photo
JPG, PNG — stored locally
📍
Enter an address to see the map
Property details
Financial snapshot
Notes & investment thesis
Live metrics
Documents
Operating agreements, EIN letters, loan docs, tax files, and diligence documents are stored under the legal entity and referenced across CCAM.
Deal information
Acquisition date = closing date (when you took title).   Pref accrual start = when preferred return begins accruing — often the same, but may differ if pref starts at first capital call or a specific contractual date. The pref accrual start date is used for all holding period and pref calculations throughout the app.
Ownership structure
Tenant in Common (TIC) structure
Enable when two co-owners hold title as TIC with potentially unequal cash flow rights relative to their equity %
Preferred return & catch-up
IRR hurdle tiers (promote / carried interest)
Payout order preview
GPs & Investors
General partners, limited partners, and TIC structure for this deal
General partners
Investors
Partnership summary
Capital calls
Enter the total distributable proceeds to calculate the full waterfall split across all tiers, GPs, and LPs.
Distribution event
Holding period — auto-calculated
Preferred return tracker
Distribution cadence (next due date):
Next distribution due:
Log distribution
Payment details
Full distribution ledger
Date Status Amount Pref paid Pref accrued Cum. unpaid Payment ref Notes
Cost segregation
Annual depreciation from your study, and each investor's share
Variable fees
Fees calculated from a metric — 8% of NOI and the like — with a billing ledger
Dropdown lists
These are managed on the Admin page
Open Admin
Deal parameters
$1,901,084 (from Deal Setup)
Acquisition fee
🏠
Acquisition fee
One-time at close
Asset management fee (AMF)
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Asset management fee
Annual recurring over hold period
Disposition fee
🏠
Disposition / sales fee
One-time at sale / exit
Financing / loan origination fee
💳
Financing / loan origination fee
On acquisition loan and / or refi
Construction oversight fee
🔨
Construction oversight / development fee
% of rehab / capex budget
Property management fee (GP-affiliated PM)
🏛
Property management fee
Annual, if GP controls the PM entity
Other / custom fees
Total fee summary
Year-by-year recurring and one-time fees across the hold period. AMF escalator applied annually.
Annual fee schedule
Year
Acq fee
AMF
PM fee
Con. fee
Other
Total
Total
One-time fees (exit / financing)
FeeTimingAmountBasis
Enter each GP's promote % and equity %. The table shows how each fee is allocated among GPs by promote %.
GP fee roster
GP name
Promote %
Equity %
Add GP to fee table
Fee allocation by GP
Total fee load
Fees as % of key metrics
MetricValueTotal all-in feesFees as %
LP impact analysis
Fee reasonableness check
TIC ownership structure
Tenant in Common — cash flow routing & LP assignments
TIC structure not enabled. Enable it in Deal Setup → Ownership structure.
Enter distributable cash flow for each period plus exit proceeds. The engine runs the full waterfall at every period — tracking cumulative unpaid pref, capital account balances, and tier splits step by step through exit.
Projection parameters
Period cash flows
Period
Operating CF ($)
Reserve ($)
Net distributable
Notes
Exit / sale proceeds
Portfolio dashboard
Cane Capital Asset Management — all active deals
Active deals
Portfolio activity
Entity tracker
LPs, GPs, and all entities across deals — add once, use everywhere
Investor roster
Add / update entity
Investor CRM
Synced from HubSpot · Contact Type = Investor
Open Items
Operations & asset management tasks — by employee, property, or corporate
Compliance & Recurring
Distributions, property tax, budgets, filings, mortgage payments, and other recurring obligations across the portfolio.
Recurring & compliance itemsRed/amber dates are due-soon safeguards.
ItemCategoryPropertyAssignedRecurrenceDueStatusLatest noteActions
Loan tracker
All loans for this deal
P&L — Monthly
Actuals tracker · Changes save automatically
Mode:
Saved
Waterfall source:
Period: