We help companies prepare for raising bank and investment financing — ranging from analyzing their current financial standing and gathering the necessary information to developing financial models and materials for banks, investors, and credit committees.
As part of this service, we:

  • analyze the financial condition and key performance indicators of the business;
  • gather and structure the information required to attract financing;
  • analyze cash flows and financing requirements;
  • develop financial models and forecasts;
  • assess debt capacity and the company's ability to service its debt;
  • prepare financial data and presentation materials for banks and investors;
  • assist in assembling the required package of documents and information for application review;
  • participate in drafting responses to inquiries from banks, investors, and consultants.

Our mission is to make the business clear and transparent for potential financing partners and to enhance the company's readiness to raise capital.