adamsbridge

ASSET & PORTFOLIO MANAGEMENT

Ensuring clean data to enable confident decisions.

We sit between your third-party data providers and your systems to validate and load the data while ensuring accurate, timely information so your team can move faster with fewer surprises.

DATA MANAGEMENT

Validate and load portfolio data with accountability.

We review incoming financial and operational data before it hits your ERP. When something is off, we coordinate corrections with the provider, then load clean data into your system so the month closes with fewer rework loops.

Financial loads with checks & balances

Trial balance or transaction level imports with accuracy review and automation.

Lease and operational data validation

Lease level and operational information reviewed against source documents and validated in your system.

Provider quality feedback loop

We rate your data providers across multiple criteria and share Provider Acceptance Score (PAS) to continuously improve portfolio data.

PROVIDER ASSESSMENT SCORE

Multi-criteria scoring of your data providers, all in one view.

An innovative approach to objectively evaluate your data providers across multiple criteria and present the results in an easy-to-review dashboard.

  • Assess completeness, consistency, timeliness, and accuracy of the data submissions
  • Communicate Provider Assessment Score results to all stakeholders
  • Discuss issues with data providers and recommend potential solutions to drive continuous improvement

PROVIDER SCORECARD

A clear feedback loop for timeliness and accuracy.

We score each provider’s submissions on timeliness, consistency, completeness, and accuracy, then share the results so performance improves over time.

Aggregate Score

Aggregate Score: 79.4

Provider Assessment Score

Timeliness

Timeliness score: 81 out of 100

Consistency

Consistency score: 76 out of 100

Completeness

Completeness score: 74 out of 100

Accuracy

Accuracy score: 86 out of 100
Provider Assessment Score comparison
ProviderTimelinessConsistencyCompletenessAccuracyTotal Score
Provider A8578758881.5
Provider B7270688273.0
Provider C7881798781.3

Scoring is based on files received for the period.

MODELING

Cash flow models you can rely on.

We build and update cash flow models that reflect what is actually happening at the asset level, so portfolio decisions are based on validated inputs, not best guesses.

Model Build & Updates

Build new models or update existing ones with validated inputs from current operating data, lease terms, and financial schedules.

Scenario Runs

Run scenarios for acquisitions, dispositions, lease renewals, and capital events with clean, consistent assumptions.

Outputs for Stakeholders

Deliver model outputs in formats designed for asset reviews, investment committees, and lender reporting.

LOAN DATA

Loan terms, captured clean and consistently.

Similar to lease abstraction, we extract the key loan terms needed for tracking, compliance, and reporting, so your team is not digging through legal language every time a question comes up.

  • Borrowing amount, rate type, term, and calculations
  • Key dates, covenants, reporting requirements, default language
  • Prepay options and critical exceptions that drive follow-up

FINANCIAL REPORTING

Reporting that stays audit ready and on time.

Once data is validated and loaded, we support consistent reporting and packaging so leadership and stakeholders are looking at the same story.

Connect With Our Team

Monthly reporting packages that stay consistent

Close support and recurring deliverables, packaged the same way every period so reviewers move faster and questions stay focused.

  • Close support and package prep
  • Recurring deliverables and schedules
  • Stakeholder-ready file sets and rollups
RecurringMonthly
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Let's solve the work slowing your team down.

Tell us what you need off your plate and we'll show you how adamsbridge can help.