Triton Equity Group

Platform

The Capital Placement
Platform for Serious Deals.

Purpose built for commercial real estate professionals who need to package deals, source lenders, and close capital efficiently. Full platform access, no fees or subscriptions.

Analysis

Model Every Deal with Institutional Precision

The deal analysis engine runs multi scenario financial models across any commercial real estate asset class. Input rent rolls, operating expenses, debt assumptions, and capital stack parameters. The engine computes NOI, DSCR, debt yield, IRR, and equity multiples across base, stress, and upside scenarios.

Sensitivity tables expose how outcomes shift with changes in rent growth, vacancy, exit cap rates, and operating cost assumptions. Every deal is stress tested before any capital strategy is set.

Deal Analysis Engine Capabilities

  • Multifamily, office, retail, industrial, mixed use
  • Scenario matrix: base / stress / upside
  • Lender ready financial packaging
  • DSCR and debt yield outputs
  • Sensitivity analysis on all key drivers
Intelligence

Extract Financials Automatically

Upload T12 operating statements, rent rolls, or appraisals. The platform extracts line item revenue, expense categories, unit mix, occupancy history, and tenant data and maps them directly into the underwriting model.

No manual transcription. No formatting errors. Parsed data is flagged with confidence scores and surfaced for review before being applied to the model. You maintain full editorial control.

Document Parsing Capabilities

  • T12 and trailing financials
  • Rent roll extraction and unit mix
  • Line item expense categorization
  • Confidence scoring on all extracted fields
Intelligence

Contextual Deal Intelligence, On Demand

The AI assistant understands your deal. Ask questions about deal structure, lender requirements, explore alternative capital sources, or request a plain language summary of your model outputs. Responses are grounded in your actual deal data, not generic financial advice.

Built on AI, the assistant is designed for professional capital markets work. It knows the difference between a DSCR covenant and a debt yield test. It can help you evaluate term sheets or explain why one lender program fits better than another.

AI Assistant Capabilities

  • Deal specific contextual responses
  • Lender program comparison
  • Scenario explanation and comparison
  • Term sheet analysis support
  • Plain language output summaries
Output

Investor Ready PDFs in Minutes

Once your deal is packaged, generate a fully formatted PDF report with one click. Reports include executive summary, capital stack diagram, scenario comparison tables, key metrics, and assumptions documentation.

Reports are designed to be sent directly to lenders and capital sources without modification. The formatting is institutional grade. The content is generated directly from your model, no copy paste, no reformatting.

Automated Reports Capabilities

  • Executive summary with key metrics
  • Capital stack diagrams
  • Scenario comparison tables
  • Assumptions and methodology notes
  • Branded PDF output ready for distribution

User Modes

Built for Every Level
of Complexity

5-Min Evaluator

Quick Analysis

Run a full deal evaluation in five minutes. Enter core deal parameters and the platform computes NOI, cap rate, cash-on-cash, DSCR, IRR, and equity multiples. Built for fast screening and initial deal assessment.

  • Five step input flow
  • Instant return metrics
  • Smart assumption defaults
  • Auto populated benchmarks
  • PDF report in one click

Full Underwriting

Comprehensive

Full model control with every variable exposed. For analysts and operators who need granular input control, detailed capital stack modeling, and complete documentation for lender submissions.

  • Full assumption override
  • Detailed capital stack modeling
  • Multi tranche debt structuring
  • Lender level documentation
  • Complete audit trail

Modes are not tied to deal size. Switch at any time.

Get Started

For Brokers

Sell-Side Underwriting
& Offering Memorandums

Broker Mode adds sell-side tools directly into the underwriting workflow. Set asking prices, back-solve cap rates, compare pro forma vs. in-place NOI, build rent comp tables, and calculate renovation ROI — all alongside your standard deal inputs.

When the deal is ready, export a broker-branded Offering Memorandum PDF with your company logo, contact information, and license number. Toggle broker mode on from the dashboard — the tools appear on every deal step.

Pricing Tool

Target asking price and cap rate with back-solve calculations.

Pro Forma vs. In-Place

Compare T-12 actuals against stabilized projections side by side.

Value-Add Summary

Renovation costs, rent premiums, and ROI analysis.

Rent Comparables

Build a comp table with property details, rents, and pricing.

Branded OM Export

Generate a PDF offering memorandum with your logo and contact info.