To create a robust business plan aligned to the company’s strategy and providing detail to monitor performance.
Ongoing financial management, reporting to keep track of business progress, interpreting numbers and better cost control.
Cash is king, close monitoring and forecasting of cashflow to identify issues and help steer the business.
Financial planning, analysis and support in commercial negotiations.
Detailed analysis of key profit drivers supporting the business strategy
and assessment of market opportunities.
Review of internal controls and business processes supporting the efficient management and operation of the business.
Assist management of the board, helping the company adopt best practice, minimise risk and protect shareholder value.
Provide coaching and guidance for management.
Help communication and reporting to investors, banks, accountants and other advisors.
Discover the advantages of various schemes from an independent and objective point of view.
To be Investment Ready and therefore be able to maximise valuation and investment terms are critical to companies seeking to raise finance, similarly with debt finance.
To help the business be in the best possible position to maximise the valuation and ensure a smooth process.