CFO SERVICES
Access to C-level expertise at Entry-level cost.
Build your team supported by our partners
Crypto Accountant
1,800$Every monthWe are familiar with most sub-ledger software and regular accounting systems- 1 day per week, flexible hours
- Bookkeeping services
- Communicate with internal and external parties
- Supports economic substance for company's tax residency
In-house Accountant (Senior)
1,800$Every monthSenior accountant with >5 years of experience. Great for filling-in temporary posts!- 1 day per week, customisable hours
- Bookkeeping, reconciliation, accounts rehaul, research, etc.
- Communicate with internal and external parties
- Supports economic substance for local tax residency
Virtual CFO and Resident Director
3,800$Every monthQualified CFO with >10 years of experience. Great for startups needing Mature Guidance or M&A projects!- Starting from 1 day per week, customisable hours
- Financial Planning, Modeling and Analysis
- Review organisational structure and provide suggestions
- Treasury and Cost Management
- Investor Relations and M&A Strategy
- Represent company in pitches and presentations
- Provide local effective management and tax residency
“ We need more experienced people on our team but we can't afford them!
#foundersgripes
Strategic Financial Planning & Analysis
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Budgeting and forecasting
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Cash flow projections and management.
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Compare financial metrics against industry peers.
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Treasury
Merger & Acquisition Project Management
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Oversee due diligence process (Financial, tax, legal and commercial)
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Support deal structuring and negotiations strategies
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Exit strategy assessment
Management Reporting
TO STAKEHOLDERS
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KPI monitoring, Management reporting, Variance & Profitability analysis
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Financial presentations to boards or investors
Tax planning & corporate structuring
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Identify and minimise tax risks internationally
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Optimise the corporate structure for tax efficiency
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Support management team in decision-making and meeting strategic objectives
Risk Management & compliance
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Identifying financial risks.
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Design and Implementing internal controls
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Periodic reviews and audits of financial processes.
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Alert team on statutory compliance requirements
Treasury & Cash management
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Review cash management policies and existing banking relations
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Share alternative financing options for comparison
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Sync short-term financial needs with long-term goals