THE CFO YOUR STARTUP NEEDS
Our external CFO services covers the 3 main financial areas that any Startup needs (administration, control and planning). We want you to leave the day-to-day administrative tasks and finances in the hands of our professionals, so you can focus your time on what really matters, your project and ideas.
BUSINESS PLANNING & REPORTING
We take control and guide your Startup by forecasting, monitoring the main KPIs and studying the data.
Produce financial forecasts based on historical information and future targets.
Provide information on key growth drivers, employees and expenses.
Estimate realistic future results based on past information and business knowledge.
Ensure cash control to guarantee that current funds cover the needs of the coming months.
Propose actions and improvements in both business and economic aspects.
Establish key insights and targets, through planned growth, as well as analyze red flags for CEOs and investors.
FINANCIAL & ADMINISTRATIVE SERVICES
We are responsible for the smooth running of the administrative management of the company.
Optimize cash and currency management.
Structure the finance department and its functions.
Build «what-if» scenarios before any business decision.
Support pricing and cost strategies.
We actively support our entrepreneurs in meeting their financial needs.
Carry out the application process with banks on behalf of the company.
Negotiate conditions with different banks in order to get the best deal.
Provide all necessary documentation to potential investors.
Support the preparation of other materials and negotiations.
HOW WE WORK?
We are the CFO and we are here to help. Whenever you need us, we’ll be here.
Senior experience at a cost effective price.
Every Startup is different, that’s why we adapt to your needs.