Earnestly using Claude to create a shared drive hierarchy and manual maintenance plan = LOL

Reddit r/artificial / 4/23/2026

💬 OpinionDeveloper Stack & InfrastructureSignals & Early TrendsTools & Practical Usage

Key Points

  • A group building a new company’s shared drive hierarchy used Claude to generate a detailed “build-out SOP,” and they were highly impressed with the resulting maintenance plan.
  • The SOP emphasizes strict folder-structure rules—numbered folders, creating the hierarchy before migrating files, and keeping each business function’s content isolated.
  • The top-level structure is split into three primary areas: Sales & Marketing, Corporate & Admin, and Operations, each with its own “00_Shared Templates” subfolder.
  • The document then drills into a specific branch (01 Sales & Marketing), detailing what kinds of materials belong in each subfolder (e.g., templates, loan sourcing, investor sourcing, marketing materials, track records, and market-facing content).
  • Overall, the article presents the workflow as an example of how AI can be used to produce highly organized, practical internal process documentation—even if the author frames it as “less serious.”

On a less serious (but perhaps profound?) note: Some guys I know recently decided to use AI for the first time in their lives, while setting up a new company. By golly, they were determined to create the best, most organized shared drive ever for the new company. They spent a couple weeks with Claude on this effort. They were positively thrilled with the results (the Maintenance SOP at the end is peak!):

CRE Debt Fund Drive Build-Out SOP

Standard operating procedure for building and maintaining the shared drive hierarchy for the Growth Market Investors debt fund platform.

1. Rules Before Building

· Use numbered folders so they remain fixed in order and can scale as the platform grows.

· Create folders first and migrate files second. Do not drag legacy files into the new structure until the hierarchy is complete.

· Each primary folder must contain a 00_Shared Templates folder specific to that business function.

· Do not mix investor reporting, live loan files, corporate records, and marketing materials across the three main folders.

2. Top-Level Folder Build

Create the root folder and the three primary folders exactly as shown below.

Growth Market Investors├── 01_Sales & Marketing├── 02_Corporate & Admin└── 03_Operations

3. Build Sheet — 01 Sales & Marketing

Purpose: this folder holds all outward-facing activity, including loan sourcing, investor sourcing, track record packaging, and market-facing content.

01_Sales & Marketing├── 00_Shared Templates├── 01_Loan Sourcing├── 02_Investor Sourcing├── 03_Presentations & Marketing Materials├── 04_Track Record & Case Studies├── 05_Origination & Relationships└── 06_Market-Facing Content

Folder Purpose / Contents
00_Shared Templates Outreach templates, teaser templates, investment summary templates, track record slide templates, and standardized email language.
01_Loan Sourcing Deal intake forms, broker outreach, sponsor outreach, referral sources, market visit notes, and pipeline tracker inputs tied to origination.
02_Investor Sourcing Investor target lists, family office outreach, capital partner materials, investor meeting notes, and fundraising support files.
03_Presentations & Marketing Materials Firm overview deck, debt strategy decks, loan product summaries, one-pagers, branding assets, and presentation drafts.
04_Track Record & Case Studies Track record summaries, realized case studies, tombstones, performance summary materials, and portfolio highlight slides.
05_Origination & Relationships Broker contacts, sponsor database, title companies, legal contacts, lender-side market contacts, and relationship mapping files.
06_Market-Facing Content Articles, newsletter drafts, LinkedIn materials, conference support materials, and thought leadership content.

4. Build Sheet — 02 Corporate & Admin

Purpose: this folder holds firm-level infrastructure only. No live investment underwriting, draw files, or servicing files should be stored here.

02_Corporate & Admin├── 00_Shared Templates├── 01_Corporate Documents├── 02_Legal & Compliance├── 03_Finance & Accounting├── 04_Banking & Treasury├── 05_Internal Operations└── 06_Strategic Planning & Board Materials

Folder Purpose / Contents
00_Shared Templates Board memo templates, internal memo templates, legal request templates, recurring report templates, and administrative checklists.
01_Corporate Documents Entity formation documents, governance records, insurance, service provider files, and permanent corporate records.
02_Legal & Compliance Regulatory filings, compliance policies, insurance requirements, loan document templates, intercreditor templates, guaranty templates, and pref/mezz agreement templates.
03_Finance & Accounting Accounting, AP, AR, audit and tax support, fund-level financial statements, recurring close files, and administrative finance workpapers.
04_Banking & Treasury Bank account records, treasury controls, authorized signer information, banking instructions, and internal treasury reference materials.
05_Internal Operations Team compensation, internal operating memos, HR/admin procedures if applicable, and back-office process documentation.
06_Strategic Planning & Board Materials Strategic planning files, annual plans, board materials, partner meeting materials, and internal planning outputs.

5. Build Sheet — 03 Operations

Purpose: this folder is the execution engine for the debt fund platform. It houses fund platform files, live and closed loans, underwriting, construction administration, asset management, portfolio reporting, and research.

03_Operations├── 00_Shared Templates├── 01_Fund Platform├── 02_Investment Strategy & Templates├── 03_Deal Pipeline├── 04_Underwriting & Risk├── 05_Construction Loan Administration├── 06_Investor Reporting├── 07_Portfolio Management└── 08_Market Research

Folder Purpose / Contents
00_Shared Templates Master deal checklists, IC memo templates, closing checklists, reporting templates, draw templates, and portfolio dashboard templates.
01_Fund Platform Fund I, future funds, governing documents, fund model, capital calls, distributions, investor communications, financial statements, audit & tax, and track record support files.
02_Investment Strategy & Templates Strategy-specific models and templates for first-position construction, bridge, acquisition, industrial / merchant build, hotel construction, multifamily value-add, preferred equity, mezzanine, participation, and sidecar structures.
03_Deal Pipeline Active deals, under review, passed deals, closed loans, and realized investments. Each live deal should include executive summary, underwriting, IC memo, third-party reports, legal, and closing subfolders.
04_Underwriting & Risk Master underwriting standards, LTV/LTC guidelines, debt yield standards, stress testing framework, risk rating system, market assumption library, and sensitivity templates.
05_Construction Loan Administration Draw request forms, lien waivers, inspection reports, budget tracking, interest reserve tracking, disbursement authorizations, and default / workout files.
06_Investor Reporting Quarterly reports, annual reports, portfolio snapshots, if-sold analysis, capital account statements, distribution notices, and capital call notices.
07_Portfolio Management Portfolio dashboard, NAV tracking, portfolio metrics, risk watchlist, ongoing reporting for closed loans, and asset-management level monitoring files.
08_Market Research Research organized by state and by asset type, including supply pipeline, sales comparables, rent comparables, economic drivers, and market-specific reference materials.

5.1 Required Operations Subfolder Templates

Build the following standard templates inside Operations so analysts and admins can create repeatable deal files and fund files.

03_Operations├── 01_Fund Platform│ ├── Fund I│ ├── Fund II (Future)│ ├── Track Record│ └── Portfolio Dashboard├── 03_Deal Pipeline│ ├── Active Deals│ ├── Under Review│ ├── Passed Deals│ ├── Closed Loans│ └── Realized Investments└── 08_Market Research├── By State└── By Asset Type

5.2 Standard Active Deal Folder Template

Every live loan opportunity in Active Deals must use the same folder template and naming convention.

· Naming convention: YYYY_MM_ProjectName_AssetType_City_State

YYYY_MM_ProjectName_AssetType_City_State├── 01_Executive Summary├── 02_Underwriting├── 03_IC Memo├── 04_Third Party Reports├── 05_Legal├── 06_Closing└── 07_Ongoing Reporting

6. Build Order for Analyst or Admin

· Create the root folder and the three primary folders first.

· Inside each primary folder, build 00_Shared Templates before building any other subfolders.

· Complete all permanent infrastructure folders next: Corporate & Admin first, then Sales & Marketing, then Operations.

· Only after the full hierarchy is created should legacy files be migrated into their permanent location.

· Move active loans and fund files last so they are placed into the final structure instead of being reorganized multiple times.

7. Quality Control Checklist

· All three primary folders are created and numbered correctly.

· Each primary folder contains a 00_Shared Templates folder.

· No live deal or servicing files are stored in Corporate & Admin.

· Track record, decks, and market-facing materials are stored under Sales & Marketing, not Operations.

· Fund platform, underwriting, pipeline, portfolio, reporting, and research files are stored under Operations.

· Every active deal folder uses the standard naming convention and subfolder template.

· Closed loans and realized investments are separated from active pipeline files.

· Research materials are organized consistently by state and by asset type.

8. Maintenance SOP

Weekly

· Move completed drafts into final folders.

· Confirm new active deals follow the naming convention.

· Archive superseded models and duplicate versions.

Monthly

· Move closed opportunities from Active Deals to Closed Loans or Passed Deals as appropriate.

· Review investor reporting folders and portfolio dashboards for completeness.

· Clean loose files from root-level folders.

Quarterly

· Review folder permissions and access controls.

· Confirm templates are current.

· Audit portfolio management, reporting, and construction administration folders for consistency.

9. Final Build Standard

The final drive should support the full debt fund lifecycle: origination, underwriting, closing, construction administration, portfolio management, investor reporting, and firm infrastructure.

submitted by /u/DiggyStyon
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