ON-DEMAND WEBINAR
Maximizing Cashflow and Returns Through Debt Optimization in a High-Interest Rate Market
As interest rates rise and economic uncertainty lingers, commercial real estate professionals are under pressure to maintain cashflow and meet investor demands. With debt being a key constant, why would anyone consider refinancing in a higher-rate environment—especially when cashflow is at stake?
Watch a timely and insightful webinar where our debt experts break down strategic opportunities that go beyond just loan terms. During the discussion, they explore:
✓ Debt Structuring for Returns: Aligning your debt with property cashflow to unlock trapped value.
✓ Scenario Planning That Works: Stress-testing debt options to align with your strategy and mitigate volatility.
✓ Real-World Playbooks: Practical examples of how to reduce capital costs, manage expiring rate caps, and more.
Meet the Speakers:
Mark Kurowski
Head of Capital Markets
RJ Finlay
Senior Debt Analyst
Let's Talk — Zero Pressure, Just Actionable Insights
Whether you're weighing a refinance, reviewing loan terms, or navigating market pressure, our team will provide a live, expert second opinion tailored to your situation. We can review the debt market outlook, assess hedging strategies, model cashflow and debt scenarios, identify ways to optimize your capital stack, or just answer any questions you may have. It’s free, focused, and built to give you clear next steps.