13-Week Cash Flow
Short-term liquidity forecasting with receipts, disbursements and operating assumptions.
Forecasts, decision models and analytical tools built around the economic drivers of your business—not generic spreadsheet templates.
The goal is not more finance for its own sake. It is clearer information, stronger decisions and a finance function that supports the way the business actually operates.
Short-term liquidity forecasting with receipts, disbursements and operating assumptions.
Driver-based budgets, rolling forecasts and variance analysis.
Base, upside and downside cases with sensitivity analysis.
Location, customer, product and service-line economics.
New locations, hiring, equipment, pricing and capital decisions modeled before money is committed.
DCF, return analysis, debt service, break-even and payback modeling.

15+ years across finance, FP&A, M&A and operations, including President and CFO leadership of a 190+ unit, $190M+ organization.
Reno, Nevada · Serving businesses nationwide
Fractional CFO support, financial modeling, transaction diligence or an experienced perspective on a difficult situation—start with a conversation.