Finance designed around how your business operates.
Different businesses create different transaction flows, reporting pressures and control risks. Our operating model adapts accordingly.
Retail & Ecommerce
Multi-location and channel reporting, settlements, inventory, margins, ageing, cash conversion and store-level visibility.
Technology & SaaS
Cash runway, budgets, forecasts, management reporting, investor packs, billing support and growth-stage finance infrastructure.
Healthcare
Multi-entity reporting, vendor management, fixed assets, cost visibility, finance controls and audit readiness.
Manufacturing
Inventory and procurement controls, cost centres, working capital, reconciliations and operational-performance reporting.
Trading & Distribution
Product margins, inventory movement, debtor and creditor ageing, cash cycles and multi-location accounting.
Professional Services
Project and client profitability, utilisation, billing, collections, resource costs and management reporting.
Financial Services
Reconciliation discipline, documentation, reporting support, process controls and structured review mechanisms.
Startups & Growth Companies
Scalable books, cash visibility, MIS, board reporting, fundraising support and finance-team architecture.
Industry familiarity matters. Process understanding matters more.
We begin with walkthroughs of your revenue, procurement, fulfilment, payroll and reporting cycles—then design finance around the business rather than forcing a generic template.
Understand the operating model
Map the transaction journey and the decisions management must make.
Build relevant controls
Focus review and documentation on the risks that materially affect the business.
Report what drives performance
Select KPIs and analysis based on commercial reality, not dashboard decoration.