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Financial Modeling — Robust Models, Better Financial Decisions

Our Financial Modeling service builds disciplined, audit‑ready models that translate strategy and assumptions into quantified forecasts, valuations, and decision-support tools. We deliver transparent, flexible models for planning, investment appraisal, fundraising, valuation, and performance monitoring so stakeholders can make faster, evidence‑based financial decisions.

Who is this for?

CFOs and finance teams needing robust planning, forecasting and valuation tools.

Investors and corporate development teams requiring transaction and valuation models for strategic decisions.

Startups and scaleups preparing investor decks and fundraising.

Problems we help solve

  • Quantify choices: compare projects, investments and funding options with clarity.

  • Reduce model risk: structured, well‑documented models minimise errors and misinterpretation.

  • Speed decision cycles: reusable templates and scenario tooling accelerate analysis.

  • Improve stakeholder confidence: investor‑grade models support fundraising and board decisions.

  • Track performance: link forecasts to KPIs and reporting to monitor delivery.

What’s included?

1

Detailed financial forecasts: revenue, cost, working capital, capex and cashflow modelling.

2

Valuation models: DCF/NPV, IRR, multiples and LBO frameworks. Transaction and deal modelling: mergers, acquisitions, carve‑outs and financing structures.

3

Operational and unit‑economics models (CAC, LTV, churn, contribution margin).

4

Scenario, sensitivity and Monte Carlo analysis. Consolidation and multi‑entity modelling. Model automation, validation and audit trails.

What's our process?

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Define scope & drivers — agree purpose, horizon, key assumptions and outputs with stakeholders.

Data review & cleansing — validate historicals and source inputs.

Build & structure — design modular, auditable models with clear logic and version control.

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Scenario & sensitivity work — embed alternate cases, tornado charts and probabilistic analysis.

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Documentation & testing — assumptions memo, reconciliation, peer review and error checks.

Delivery & training — handover, user guide and walkthroughs for finance and decision teams.

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Automation & integration — optional linking to systems and refresh processes.

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Ongoing support — model updates, ad‑hoc analysis and investor Q&A support.

Woman Working Thoughtfully

The added value for you

  • Fully functional, auditable financial model (Excel/Google Sheets or specified platform).

  • Assumptions workbook, model documentation and reconciliation schedules.

  • Scenario and sensitivity dashboards with visual summaries.

  • Valuation pack (DCF, IRR, multiples) and transaction modelling outputs.

  • Integration specs or automation scripts and refresh procedures.

  • Handover session, user guide and technical support period.

  • Technical rigor — best‑practice model design, testing and documentation.

  • Commercial perspective — models that reflect operational reality and decision needs.

  • Flexible delivery — from rapid templates to bespoke, integrated platforms.

  • Trusted by investors and auditors — defensible assumptions and transparent logic.

Contact us

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