
Wüest Dimensions
Integrated fund management with maximum transparency
Fund Management brings financial planning, performance analysis, and risk control into a single, centralized solution – helping you make well-informed decisions.
Manage your real estate funds proactively, make well-informed decisions, and ensure long-term performance and liquidity.
Your Benefits
Structured data basis
Record capital structures, fees, and taxes using predefined parameters to create a reliable basis for financial planning.
Integrated financial planning
Model consolidated and unconsolidated financial statements as well as cash flow trends across multi-level company structures, based on existing business plans in Wüest Dimensions.
Comprehensive risk management
Analyze scenarios, monitor KPIs, and identify market, interest rate, and liquidity risks at an early stage.
Flexible scenario planning
Assess market developments, investment opportunities, and acquisition due diligence using well-founded, quantified model calculations.

Comprehensive management
Fund Management in Wüest Dimensions enables integrated, data-driven management of your real estate funds. Financial reporting, portfolio planning, regulatory requirements, and fund-specific metrics are all consolidated in one central solution. Income statements, balance sheets, and NAV validation checks are seamlessly integrated and mapped across all levels using a consistent data model. This creates transparency, reliability, and confidence, providing a sound basis for strategic and operational decisions.
Planning and performance
Plan the future of your funds with foresight and well-founded judgment, supported by a flexibly configurable financial model. Long-term KPI forecasts, distribution planning, and the modeling of capital increases and growth strategies provide a sound basis for decision-making. Performance attribution, external benchmarks, and a transparent view of financing, costs, and portfolio structure enable active management and clear communication with investors and governing bodies.


Security and governance
With integrated scenario analyses, stress tests, and liquidity monitoring, you can respond early to market and interest rate developments. KPIs and reporting requirements are systematically mapped and monitored, regardless of jurisdiction or fund domicile. Different financial statements and accounting standards can be accommodated case-by-case. Tax implications are realistically incorporated into planning and forecasting. Stored investment guidelines and defined KPI targets strengthen governance, risk management, and sustainable value creation.