ARKA IPMS is a multidisciplinary project consultancy offering integrated project management services across commercial, corporate, institutional, hospitality, and industrial developments.
Our Feasibility Reports provide a comprehensive evaluation of the technical, financial, regulatory, and commercial viability of a proposed development before capital commitment. Through detailed analysis of site potential, demand patterns, development models, cost implications, and return projections, we equip decision-makers with clearly defined risk visibility and investment clarity. The outcome is a guided roadmap that helps stakeholders decide whether to proceed, modify, phase, or reposition the project based on real-time viability and long-term profitability.
FAR/FSI study, land utilization efficiency, zoning opportunities & height potential.
Site access, utilities, soil conditions, environmental sensitivities & infrastructure availability.
Segment analysis, pricing comparisons, absorption trends & competitive context.
Preliminary site layout concepts, stacking plans and built-up area projections.
High-level CAPEX, revenue realization models, IRR, payback & ROI calculations.
Best-case/average-worst-case models for more informed decisions.
Total buildable area visibility with regulatory constraints and design possibilities.
Helps determine ideal development mix & expected revenue viability.
Investment vs return mapping for long-term and short-term strategy.
Captures uncertainties, cost impacts & scope for enhancement.
Evaluation-backed data prevents miscalculated commitments.
ROI-driven feasibility improves fund approval cycle.
Risk modelling secures decision-making beyond assumptions
Our Due Diligence Services provide a critical and unbiased evaluation of land parcels, built assets, or ongoing developments prior to purchase, funding, or execution. We assess the legal, technical, financial, and compliance status of a project to uncover risks, gaps, and potential constraints that may impact future development and viability. With a systematic audit of documentation, approvals, design integrity, cost estimates, site conditions, and execution feasibility, we deliver a clear Go/No-Go recommendation along with mitigation strategies—empowering investors and stakeholders to make decisions that are informed, safeguarded, and strategically sound.
Verifying drawings, approvals, existing conditions, soil data & compliance gaps.
Development control rules, local authority permissions, clearances & NOCs.
Evaluation of existing estimates, overruns, escalation risks & cost exposure.
Review of tender structures, BOQs, vendor shortlisting & rate validation.
Constructability, quality, schedule status, material delivery & cashflow alignment.
Validating layout efficiency, code compliance & sustainability integration.
Minimizes regulatory, legal and environmental exposure.
Improves pricing transparency and vendor accountability.
Highlights coordination gaps before construction mobilization.
Short, clear snapshot of risks along with corrective recommendations.
Helps avoid costly oversights in early acquisition stages.
Vendor and cost data validated for decision security.
Confidence while entering contracts or capital approvals
We provide structured cost planning and investment reporting services to ensure financial clarity and control throughout the project lifecycle. Our approach integrates detailed cost estimates, cash flow forecasting, and revenue modelling aligned with project objectives. We evaluate IRR, ROI, and payback metrics to support informed investment decisions. Robust governance and reporting frameworks enable transparency for stakeholders and lenders. This ensures optimized capital deployment and long-term value realization.
Preparation of detailed cost estimates and time-phased cash-flow projections to support budgeting, funding planning, and effective financial control.
Development of structured revenue realization models to forecast income streams, align cash inflows with project milestones, and support investment planning.
Evaluation of IRR, ROI, and payback periods to assess investment viability, returns, and long-term financial performance.
Support in structuring funding strategies and financial models to align capital sources, project cash flows, and investment objectives.
Establishment of robust program governance frameworks and reporting systems to ensure transparency, control, and informed stakeholder decision-making.
Preparation of periodic investment-grade reports providing clear financial, progress, and risk insights for investors and stakeholders.
Comprehensive project cost breakdown aligned with scope, design stage, and execution strategy
Time-linked cash-flow projections mapped to construction milestones and funding schedules.
Structured forecast of revenue streams aligned with project phasing and market assumptions.
Financial viability assessment highlighting returns, recovery period, and investment performance.
Recommended funding approach outlining equity, debt mix, and capital deployment strategy.
High-quality reports presenting financial status, risks, and outlook for investors and stakeholders.
Provides clear financial visibility through structured cost planning, cash-flow analysis, and return evaluation.
Identifies financial and execution risks early, enabling informed decision-making and mitigation planning.
Aligns funding, phasing, and revenue strategies to maximise returns and improve investment efficiency.
Let's discuss how ARKA IPMS can bring certainty and success to your construction project. Schedule a no-obligation consultation with our experts today.