One-Time Services (Projects)
Budgeting
Creating a financial plan that outlines expected income and expenses over a set period (monthly, quarterly, or yearly), allowing businesses to align resources with objectives.
Performance Analysis
Analyzing key financial ratios (liquidity, solvency, growth) to assess a company’s financial health and operational efficiency.
Forecasting
Predicting future financial performance based on historical data and expected conditions.
Profitability Analysis
Analyzing different business units, products, or services to determine profitability.
Capital Budgeting
Deciding whether a project or investment is financially feasible.
Company Valuation
Estimating the value of a company, often using a Discounted Cash Flow (DCF) model.
Ongoing Support Services (Retainers)
Performance Monitoring
Regular tracking of financial performance against key metrics (KPIs) and budgets.
Cash Flow Management
Ensuring the business has sufficient liquidity to meet short-term obligations.
Reporting and Dashboarding
Creating regular financial reports and visual dashboards.