Liberty Creek’s experienced team addresses each asset with the same process, from acquisition to exit, the priority is to protect the Investor’s capital, while achieving the highest return. Information is continually updated through the InvesLiberty Creek’s experienced team addresses each asset with the same process, from acquisition to exit, the priority is to protect the Investor’s capital, while achieving the highest return. Information is continually updated through the Investor Private Portal here on the Web Site.

Acquisition of Assets

Our team researches countless resources looking for undervalued assets that can be purchased substantially lower than the current retail value. Each asset is evaluated with an exit strategy in mind. Seeking off market properties and mortgage notes, we work with direct sellers of distressed assets to achieve the primary goals of the Fund.

Note Mitigation

All Mortgage Notes are professionally managed by an in house Asset Manager along with the Servicer to determine a best course of action.

REO Management

The REO properties are evaluated for the best solution to the Fund. This could be as a renovation and flip for sale, or as a long term hold with a rental. In either case the property is quickly and efficiently repaired and sold or rented to turn it into an income producing asset.

Renovation

Liberty Creek has defined systems with contract management staff in place to efficiently renovate all assets. Our expertise in this division is unparalleled in the industry.

Property Management

The Fund will use local Property managers for each asset, in the cases of single family, this could be a realtor to sell the home, or a company to handle the rental and maintenance for the Fund. In multifamily assets, we purchase sizeable complexes where an onsite Property Manager will report directly to Liberty Creek.

Fund Administration

Each Fund utilizes a third party Fund Administrator to manage the cash and financial reporting. Liberty Creek provides the authority to acquire, renovate, lease and sell assets. All cash flow is managed and held in confidence for the Investor’s, within specified bank accounts to each Fund. The Administrator reports to the Fund directly and provides all financial reporting directly to the Members through the web site private portal for complete transparency.

Investor Reporting

Liberty Creek provides a private portal to all Investors on the Company web site. This allows for 24/7 viewing of all information to each entity under management in the Liberty Creek family of Funds.

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