Pegasus Asset Management

Pegasus Asset Management (“PAM”) is a full service asset management firm specializing in the management of commercial real estate properties throughout the United States. As an integral part of the Pegasus platform, PAM interfaces seamlessly with Pegasus Investments and Pegasus Capital Markets to provide clients with full service and high quality asset management services from acquisition through the ultimate sale of the asset.

With over 100 properties under management nationwide, consisting of more than 1.08 million square feet and over 130 tenants, PAM offers comprehensive and cost effective administrative and management support for owners of commercial real estate properties. PAM leverages its extensive experience and tenant relationships to optimize a property’s performance and maximize tenant retention.

A common misconception in retail property ownership is that “net leased” assets require little or no asset management obligations on the part of the owner, which is certainly not the case. In addition to ensuring compliance with the landlord obligations set forth in a tenant’s lease, a property owner’s responsibilities may range from property maintenance to lender financial reporting. Unfortunately, many owners of retail properties find that they are unaware of, or unprepared to fulfill, their management responsibilities and the value of their investment may suffer as a result. Below is a list of services Pegasus Asset Management provides on behalf of property owners.

Services

  • Rent collection and distribution

  • Budget preparation and tracking

  • Monthly financial reporting

  • Periodic site inspections

  • Oversight of property maintenance

  • Engagement and supervision of vendors

  • Year end reconciliation of CAM, tax & insurance billing

  • Lease administration

  • Tenant relations

  • Supervision of leasing brokers

  • Negotiation of lease amendments and renewals

  • Monitoring of tenant insurance

  • Lender correspondence

  • Monthly loan payments

  • Preparation and delivery of lender required financial reporting

  • Lender reserve draw requests