Financial Modelling
Customised financial modelling services to understand your capital needs
A customised, three-way financial model can help you understand the capital needs of your business plan.
You have a business plan, but:
- Can you turn that plan into a set of financial forecasts?
- Do you know whether your plan is self-funding?
- If things don’t go to plan, are you able to identify what changed?
- Can you diagnose the specific issue and decide on a response?
- Do you know how much cash is “hidden” in your business?
Here’s how we can help
Pro Veritate builds three-way financial models – a forecast that produces an integrated Profit and Loss Statement, Balance Sheet and Cash Flow Statement. Our proprietary financial model overlays key cash flow drivers onto your historic financial information to give you a clear picture of your business in the future.
The outcome?
You’ll understand the capital requirements of your business plan and be able to explore whether alternative strategies can achieve the same outcome for a lower capital requirement. This powerful tool can perform various scenarios and be updated for real-world changes in real time.
Our models:
- Are customised for your business
- Can forecast out to 60 months
- Can be updated and rolled forward as your actual monthly information is available.
Learn how financial modelling can help you understand your capital needs.