Financial Planning & Analysis
Comprehensive financial modelling, forecasting, and scenario planning to give your business a clear view of its financial future.
Cash Flow Management
Structuring cash cycles, identifying pressure points, and implementing controls to ensure liquidity at every stage of growth.
Budgeting & Cost Control
Building disciplined budgeting frameworks and identifying cost reduction opportunities without compromising operational performance.
Financial Reporting
Producing clear, accurate management accounts and board-level reporting that drives informed decision-making.
Business Performance Analysis
Evaluating operational and financial KPIs to identify what is working, what is not, and where the greatest improvement potential lies.
Profitability Improvement
Identifying margin leakage, pricing inefficiencies, and cost structures that can be optimised to improve bottom-line performance.
Financial Health Checks
A structured review of your financial position — balance sheet, cash flow, and profitability — to identify risk and opportunity.
Investment Planning
Evaluating investment opportunities with institutional-grade due diligence, risk assessment, and return analysis.
Financial Risk Assessment
Identifying, quantifying, and mitigating financial risks across credit, market, operational, and liquidity dimensions.
Business Growth Planning
Translating growth ambitions into financially robust plans with clear milestones, capital requirements, and accountability frameworks.