Three Core Service Pillars for Financial Clarity, Insight & Growth

Financial Reporting & Analysis

Make the numbers tell the truth

Review P&L, balance sheet, cash flow

KPI & reporting systems optimisation

Fix data quality issues

Automate repetitive finance tasks

Commercial Insight & Evaluation

Find what drives profitable growth

Analyse sales and revenue drivers

Test pricing and discount levers

Track SKU and channel profitability

Evaluate advertising spend & ROI

Financial Strategy & Planning

Plan 12 months with cash in mind

Build scenarios and financial models

Set budgets and monthly targets


Prepare funding plan and materials

Scale without Cash Flow constraints

Not sure what you need?

Additional service - Bespoke model

When the standard packages don’t fit, we build a tailored, scenario-driven model with hands-on guidance. This includes a full 3-year P&L and cash flow forecast, with sensitivities around pricing, margin, inventory and ROI. We pressure-test assumptions, align the plan to your goals, and produce investor-ready outputs so you can move forward with clarity and confidence.