

Secure your liquidity runway
Schedule a direct operational cash flow audit with our principal partners. We analyze your ledger's hard numbers to map capital efficiency and protect your immediate cash runway from scaling bottlenecks.
Analyze your hard numbers
Submit your details below to initiate a confidential ledger audit. A fractional CFO will review your current capital efficiency parameters.
Clear engagement parameters
We establish strict operational parameters before auditing any client ledger. Here is what to expect from our initial consultation as we work to secure your capital efficiency.
What does the audit require?
How quickly are models built?
We require read-only access to your primary accounting ledger and recent bank statements. All data is protected under strict non-disclosure agreements before our analysis of your operational cash flow begins.
Our team delivers a functioning real-time operational cash flow model within seven business days of receiving complete financial data, highlighting immediate capital leaks and runway constraints.
Who performs the analysis?
Are services fully remote?
Every audit is led directly by a principal partner with extensive fractional CFO experience. We do not delegate high-stakes restructuring work or cash flow modeling to junior analysts.
We operate primarily via secure remote integrations, but schedule intensive on-site alignment sessions in New York for complex corporate debt restructuring mandates and capital allocation planning.