fund-formation-toolkit

Compare CRE fund structures and recommend a formation path with compliance guidance.

Updated Apr 1, 2026
One-click install
npx skills add https://github.com/chibus0368-pixel/om-analyzer --skill fund-formation-toolkit-chibus0368-pixel
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Skill: fund-formation-toolkit
Source: https://github.com/chibus0368-pixel/om-analyzer/tree/main/skills/fund-formation-toolkit
Command: npx skills add https://github.com/chibus0368-pixel/om-analyzer --skill fund-formation-toolkit-chibus0368-pixel

SYSTEM DOCUMENTATION & REQUIREMENTS

💡 This Skill includes references (resource) components.

What problem does it solve?

End-to-end fund-formation challenges for CRE sponsors are addressed by providing structured guidance on entity structuring, regulatory compliance, and investor communications, reducing legal risk and drafting time.

Core Features & Use Cases

  • End-to-end formation guidance including entity selection, Reg D considerations, and GP economics.
  • PPM drafting guidance with compliance alignment, risk disclosures, and exhibit planning.
  • K-1/tax coordination framework and investor communications planning.
  • Use Case: A sponsor evaluating syndication vs blind-pool fund and planning a first close across multiple states.

Quick Start

Provide your sponsor profile and target metrics to generate a recommended fund structure and core documents.

Frequently Asked Questions about fund-formation-toolkit

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I structure a CRE fund for a first close across multiple states?

To structure a CRE fund for a first close, provide your sponsor profile and target metrics to generate a recommended entity structure, fund terms, and a compliance checklist. The toolkit evaluates syndication, blind pool, and REIT configurations to determine the most suitable formation path for multi-state closes.

What is the difference between a CRE syndication and a blind pool fund for GP economics?

The difference between a CRE syndication and a blind pool fund lies in asset acquisition timing and capital deployment flexibility. The toolkit compares these structures against your sponsor profile to determine optimal GP economics, LP/GP alignment, and PPM outline requirements.

How do I draft a PPM with Reg D compliance and risk disclosures for a real estate fund?

To draft a PPM with Reg D compliance, the toolkit delivers a structured PPM outline with aligned risk disclosures and exhibit planning. It applies Reg D considerations and K-1/tax coordination frameworks to ensure proper LP/GP alignment across standard fund configurations.

Can I use this toolkit for REIT formation and K-1 tax coordination?

Yes, you can use this toolkit for REIT formation and K-1 tax coordination. It identifies and compares REIT structures alongside syndication and blind pool options, applying K-1/tax coordination frameworks and investor communications planning tailored to your sponsor profile.

What fund terms and entity recommendations does the formation toolkit generate?

The formation toolkit generates structured outputs including entity recommendations, fund terms, PPM outlines, risk disclosures, and a compliance checklist. These outputs are determined by analyzing your sponsor profile and target metrics against standard CRE fund configurations.