Fractional CFO Services Company West to East Business Solutions, LLC
A fractional CFO can be permanent or interim and offers the same level of services as a traditional CFO but on a contractual basis.
We work closely with your company's leadership team to develop and implement financial strategies that support your company's growth objectives and long-term success.
As CFOs, we also act as a liaison between the company and shareholders, bankers, auditors, attorneys, customers, and vendors.
What Does a Fractional CFO Do?
Improve cash flow, forecasting, budgeting, profitability, and strategic decision-making without hiring a full-time CFO.
- Strategic Planning
Assist in developing strategic financial plans by identifying growth opportunities and optimizing resource allocation, all based on financial data.
- Financial Planning and Analysis (FP&A)
Conduct an in-depth financial analysis using performance metrics to help companies make informed decisions that align their resources with long-term goals.
- Due Diligence
Analyze a company's financial health to confirm the accuracy of financial statements before a merger, acquisition, or significant investment.
- Audits
Ensure the accuracy and compliance of financial documents such as ledgers, journal entries, and financial statements. Assist third party auditors by providing necessary data.
- Mergers and Acquisitions (M&A)
Perform due diligence, FP&A, assist with audits, and align the potential contracts or buys to the company's goals.
- Exit Strategies
Create a solid exit plan for business owner(s) to execute when they are ready to leave the company.
- Fundraising
Find funding sources, create projections, prepare presentations, and track company's overall financial health.
- Budgeting and Forecasting
Establish realistic budgets, monitor actual performance against projections, and make necessary adjustments to ensure financial goals are met.
- Cash Flow Management
Implement strategies to optimize cash flow, ensure liquidity, manage debt, and capitalize on growth opportunities.
- Risk Management
Implement risk management frameworks, establish internal controls, and ensure compliance with relevant regulations and industry standards.
- Investor Relations
Prepare financial reports, and other materials required for investor presentations, ensuring transparency and effective communication of the company's financial position and growth potential.
- Financial Reporting
Work closely with the in-house or outsourced accounting department to ensure the timely and accurate financial representation of the company for real-time strategic decision making.
We work closely with your company's leadership team to develop and implement financial strategies that support your company's growth objectives and long-term success.
As CFOs, we also act as a liaison between the company and shareholders, bankers, auditors, attorneys, customers, and vendors.
What Does a Fractional CFO Do?
Improve cash flow, forecasting, budgeting, profitability, and strategic decision-making without hiring a full-time CFO.
- Strategic Planning
Assist in developing strategic financial plans by identifying growth opportunities and optimizing resource allocation, all based on financial data.
- Financial Planning and Analysis (FP&A)
Conduct an in-depth financial analysis using performance metrics to help companies make informed decisions that align their resources with long-term goals.
- Due Diligence
Analyze a company's financial health to confirm the accuracy of financial statements before a merger, acquisition, or significant investment.
- Audits
Ensure the accuracy and compliance of financial documents such as ledgers, journal entries, and financial statements. Assist third party auditors by providing necessary data.
- Mergers and Acquisitions (M&A)
Perform due diligence, FP&A, assist with audits, and align the potential contracts or buys to the company's goals.
- Exit Strategies
Create a solid exit plan for business owner(s) to execute when they are ready to leave the company.
- Fundraising
Find funding sources, create projections, prepare presentations, and track company's overall financial health.
- Budgeting and Forecasting
Establish realistic budgets, monitor actual performance against projections, and make necessary adjustments to ensure financial goals are met.
- Cash Flow Management
Implement strategies to optimize cash flow, ensure liquidity, manage debt, and capitalize on growth opportunities.
- Risk Management
Implement risk management frameworks, establish internal controls, and ensure compliance with relevant regulations and industry standards.
- Investor Relations
Prepare financial reports, and other materials required for investor presentations, ensuring transparency and effective communication of the company's financial position and growth potential.
- Financial Reporting
Work closely with the in-house or outsourced accounting department to ensure the timely and accurate financial representation of the company for real-time strategic decision making.
| Цена: |
7 000 $
|
| Город: |
Москва
|
| Тип: | Предлагаю |
| Автор: |
5 лет опыта
|
Регистрация с 04.01.2021
|
|
| Сайт: | westtoeastllc.com/ |
| Дата: | 31.08.2026 22:08 |
| Номер: | 2410123 |
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