We provide periodic (monthly, bi-annually and annually) management reports which includes, Income Statements, Statement of Financial Position and Cash Flow Statement. Our goal is to enable our client’s present recorded books of accounts according to international standards, view the financial health of the business and review business performance, while having increased focus on core business functions.
We help our clients collect and analyze data around their business operations to enable proper budgeting and forecasting which helps them drive informed business decisions. We specialize in revenue and profitability optimization through the preparation of annual and rolling forecasts, expense planning and variance analysis to understand when and how much to spend while tracking variance to identify reasons for improvement.
We help our clients bring together the planning, budgeting, accounting, financial reporting, internal control, auditing, procurement, disbursement and the physical performance of the project with the aim of managing project resources properly and achieving the project’s objectives.
The treasury and advisory department specializes in the management of cash, liquidity, and bank accounts of our clients. The department also devises strategies that help our clients’ meet their financial objectives by the offering of investment planning and corporate advisory services.