Uncover contractual, compliance and liability risks that can materially affect value, negotiations and post-completion outcomes.
Test the market, customers and commercial assumptions behind the numbers to validate the real growth and downside story.
Independent analysis of earnings quality, working capital and cash dynamics to support pricing, structure and risk allocation.
Ongoing, partner-level financial support to keep reporting accurate, compliant and investor-ready.
Targeted reviews to identify sustainable cost reductions and operational improvements without undermining growth.
Hands-on support to prepare for, structure and execute exits and acquisitions with clarity and control.