Financial Analysis.
We’ll evaluate profitability in your business, giving you key insights into key profit drivers including staff cost, sales and revenue and expenditure forecasting.
Plan by estimating your business’s future financial position and manage your working capital.
Financial planning and profit & loss forecasting is a skill that requires a solid grasp of multiple accounting tools, as well as broad scope knowledge of financial documents like the cash flow statement and profit and loss account.
We love to analyse and use data driven approaches to understand where your business has come from and where it is likely to go.
If you’re just starting out, there’s a good chance that you don’t have anybody with these types of skills on your books.
We’ll evaluate profitability in your business, giving you key insights into key profit drivers including staff cost, sales and revenue and expenditure forecasting.
Financial forecasts can play a major role in your ability to win investment and take the next step up the funding ladder. We set up the necessary systems and processes to improve working capital management by analysing receivables and payable cycles and set benchmarks. Identifying areas to improve cash flow cycles and building detailed cash flow forecast and monitoring mechanism.