Finance clarity for scaling businesses

Get a dedicated finance team that delivers clean monthly closes, real cash-flow visibility, and investor-ready reports. We handle the operational finance in Xero / QuickBooks / Zoho so you can focus on strategy. (We partner with your CPA for any tax and legal needs.)

Services

Financial Ops (R2R)

  • Bank reconciliations & GL maintenance
  • Accruals / prepaids schedules
  • Close the checklist & intercompany

Budgeting & Forecasting

  • Annual budget + quarterly reforecast
  • Rolling 13-week cash tracker
  • Scenarios & HC/OPEX planning

Management Reporting

  • Monthly P&L / BS / CF packs
  • Variance analysis + executive summary
  • KPI pack with next-month actions

Billing / A/R & A/P

  • Invoicing & revenue schedules
  • Collections follow-ups (DSO)
  • Vendor/AP payment runs

Systems & Audit

  • Setup & migrations
  • Integrations & role-based access
  • Docs & audit-ready files

Note: No tax/legal advisory; we coordinate with your CPA/local providers.

Also need marketing?

Is this you?

If you’re a founder or finance leader at a scaling company, you might be:

  • Losing sleep over cash flow and runway projections.

  • Wasting valuable time on manual reconciliations instead of strategy.

  • Getting board-ready reports out late, or not at all.

  • Ready for a professional, repeatable finance operation that scales with you.

Why choose us?

Get the clarity and control of a senior finance team without the cost of a full-time executive. We handle your month-end, cash flow, and strategic reporting across the US, EU & MENA—inside your Xero, QuickBooks, or Zoho system.

Built for scaling tech

We focus on recurring revenue, retention, unit economics, and global payment flows.

Senior expertise, fractional cost

A 10+ year lead operates under US GAAP, IFRS, and NL GAAP (Dutch GAAP) and coordinates with your CPA.

Team-backed continuity

Documented playbook and coverage - no single point of failure.

Forward-looking control

Rolling 13-week cash, scenarios, and an operating budget to guide decisions.

Board-grade reporting

Investor-ready monthly P&L, Balance Sheet, and Cash Flow with variance notes.

Integrated growth

If you also use our marketing, we align demand plans with cash and capacity.

Note: We do not provide tax or legal advice. We coordinate with your local advisors for all compliance matters.

Let’s Work Together

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