Business planning and financial modelling
We assist in preparing robust business plans backed by detailed financial models that reflect revenue projections, cost structures, funding needs, and profitability scenarios—essential for decision-making, investor presentations, and strategic planning.
Budgeting and forecasting
Comprehensive support in developing annual budgets and financial forecasts. Our approach helps businesses set realistic financial targets, monitor performance, and make timely adjustments based on evolving conditions.
Working capital planning and management
Advisory services focused on right assessment of working capital requirements, optimizing receivables, payables, and inventory to ensure efficient use of funds and improved liquidity. We help enhance cash cycles and support operational continuity.
Cost control and profit improvement
We analyze cost drivers, overheads, and margins to identify inefficiencies and recommend strategies for cost reduction and profitability enhancement without compromising value delivery.
Capital structuring and funding strategy
Guidance on optimal mix of debt and equity, funding sources, and capital deployment. We help businesses structure their finances to support growth while maintaining financial health and investor confidence.
Investment appraisal and ROI analysis
Evaluation of investment proposals using tools such as NPV, IRR, and payback period to ensure capital is allocated to high-return projects. We help stakeholders make confident, data-backed investment decisions.
Treasury and cash flow planning
Strategic planning and advisory for managing day-to-day cash flows, short-term investments, and banking relationships. Our services aim to strengthen liquidity, reduce financial risks, and support solvency.
Project Reports and feasibility studies
Preparation of detailed project reports and feasibility analyses that assess technical, financial, and commercial viability—critical for bank financing, investor pitches, and internal approvals.