Complex problems. Simple answers.
Financial modelling needs to analyse complex questions but create clear, actionable answers that guide businesses to long term profitability.
BFY’s proprietary tools allow us to produce accurate P&L, balance sheet, and cash flow modelling in a short time frame. Our scenario modelling tools help suppliers identify what specific changes they need to make within their portfolio to achieve greater profitability.
Implementation of best in class financial reporting for a challenger brand
Implementation of an energy volume driven gross margin and costing process
Working capital and cash flow forecasting to confirm viability of an energy retailer as a going concern
P&L, balance sheet, and cash flow modelling to assess the benefits case of a proposed merger