Future City • Wealth Management

End-to-End Wealth & Asset Management for Property Investors

Strategic asset allocation, rental yield optimization, tax-aware cashflows and exit planning — integrated with acquisition, residency and banking so your portfolio performs across cycles with clarity and control.

Yield Optimization Cashflow Planning Risk Controls Exit Strategy

What We Deliver

Portfolio & Yield

Data-driven allocation and KPI tracking to lift NOI and stabilize returns.

  • Unit mix, location and lease strategy
  • Dynamic pricing & occupancy playbook
  • Quarterly KPI dashboards & targets

Cashflow & Banking

Collections, FX policy and reserves designed for predictable liquidity.

  • Collections, arrears and reserve buffers
  • FX & hedging guidelines
  • Banking stack & reporting cadence

Risk & Exit

Insurance, compliance and exit timing to protect and realize value.

  • Insurance & compliance matrix
  • Refinance vs. resale decisioning
  • Exit-ready documentation pack

Process — From Onboarding to Exit

1Onboarding: assets, goals, constraints, baseline KPIs.
2Plan: allocation, pricing, banking & reserves.
3Operate: leases, collections, vendor SLAs.
4Optimize: rent reviews, cost controls, refinances.
5Report: quarterly dashboards & reviews.
6Decide: hold, refinance or sell pathways.
7Exit: execution and proceeds management.

FAQs

How do you improve rental yields sustainably?

Through data-driven pricing, occupancy management and capex planning tied to KPI targets and market cycles.

Can you manage banking and FX exposure?

Yes. We design collections, buffers and hedging guidelines aligned with your risk profile and currency flows.

When is the right time to exit or refinance?

We track KPIs, market signals and pledge timelines to recommend hold/refi/sell scenarios with modeled outcomes.

Huzur Mah. Azerbaycan Cad. No : 4, Skyland İstanbul B Blok No : 190, Sarıyer / İstanbul • Tel: +90 212 689 99 99 • WeChat ID: Futurecitytr