Improve Financial Stability & Growth Systems design or optimization Bridge gap between CFO hires Raise Capital Prepare for a merger or acquisition Budgeting Facilitating & Interpreting Financial Reporting Capital Structure Improve Revenue Models Cash Flow Analysis Create Long-Term Financial Strategy Organize Historical Financials Provide Long- & Short-Term Forecasting Optimize Systems for Scalable Growth Improve Reporting & Record Keeping Raise Capital (Debt and Equity) Resolve Cash Flow Challenges Make Cost Cutting Strategies Maximize Adjusted EBITDA Audit Prep and Management Accounting Systems Integrity Working Capital Calculations/Defense Financial Statements and Projecting Offering Memorandum Support Gatekeeper to Due Diligence Process Post-Transaction Transition