What we do for your business
The final scope is set out in the proposal and engagement according to the entity’s needs and requirements.
Analyse financial statements and discuss performance, profitability and liquidity indicators with management.
Prepare budgets, compare actual results with plans and analyse variances.
Prepare cash flow forecasts and review liquidity needs based on assumptions agreed with management.
Prepare periodic financial and management reports suited to owners and partners.
Help organise financial information for funding discussions, planning or expansion, depending on the agreed assignment.
What we need to get started
Current financial reports, revenue and cost information, management plans and objectives, and available forecasting assumptions.

