What is included in the financial analysis?
Financial indicator analysis
We conduct in-depth analysis of the company’s financial indicators, providing valuable insights into resource utilization and identifying opportunities for improvement.
Financial report analysis
We provide financial report analysis that includes balance sheet, profit and loss calculations and cash flow reports. This analysis allows to precisely evaluate the financial situation of the company.
Cash flow analysis and estimation
Cash flow analysis is essential to estimate the company’s liquidity and to plan future investments. We help to create precise cash flow estimates that will ensure stable company operation.
Profitability analysis
Our experts will evaluate profitability of your company to determine the products or services that provide the largest added value.
Financial estimates
We offer financial estimates based on current data, trends, and anticipated legislative changes, empowering you to effectively plan the next stages of your company development.
Financial risk evaluation
By performing an in-depth financial analysis, we evaluate the possible financial risks that can affect the company development, while also providing solutions to counter these risks.
Our financial analysis services will provide you with:
- Precise and detailed overview of your company’s financial situation.
- An individually developed report adapted to the specifics of your company.
- Ability to improve the company’s efficiency and profitability.
- Data collection and analysis – we collect the required financial data and analyse it to determine the current state of the company.
- Report preparation – we develop detailed reports on the financial indicators of the company that include recommendations for improvement.
- Operational Continuity Plan – we assist in developing a strategic financial plan tailored according to the results of our analysis.
- Improved financial management – financial analysis helps the company management to make justified long-term decisions.
- Precise cash-flow management – cash-flow analysis will allow you to precisely plan the company’s finances and avoid any liquidity issues.
- Reduced financial risks – you can protect your company from bigger financial issues by identifying and neutralizing potential risks in advance.
Financial indicator analysis is a process that evaluates the operational efficiency of the company by using such indicators as profit, liquidity and asset-use coefficients.
Yes, our services are tailored both for small and large companies, and we provide custom solutions according to each company’s individual needs.
Financial analysis helps to discover strengths and vulnerabilities of your company by providing data for company growth plans and strategic decisions.
It is recommended to perform financial analysis at least once a year to ensure financial health of the company and to discover potential growth opportunities.