Financial Modeling

Financial models are typically built for, and relied upon, to support business decisions. Good financial models provide insightful information, allowing you to explore the financial impact of strategic decisions and support your business plan or investment decision.

Financial modeling allows companies to quickly grasp the key drivers behind their cashflow and value. A good model allows you to quickly change assumptions behind the model and to see what effect it makes.

Surprisingly, quite often people tend to be too optimistic about their plans. Putting numbers into a financial model brings you down to earth. Some of our clients have saved important amounts of money by adjusting their development plans in advance.

One of the most common mistakes is underestimation of cash requirements for development projects of a business. Every time you get cost overruns or delays in delivery – all of this adds up and significantly worsens the pressure on the company’s cash reserves.

Putting the numbers down to a financial model and setting these to the worst-case scenario, would allow you to know your cash needs well in advance. It would also give you time to negotiate a stand-by line of credit for these needs.

If you are looking to:

  • Employ financial modeling services to put together an abstract representation of your real-world financial situation;
  • Employ financial modeling to forecast your business outcomes and think-through your financial strategies including assessing the maximum potential of an investment based on testing several scenarios;
  • Outsource financial modeling services to a reliable financial modeling service provider to help you summarize events and provide effective direction for future decisions or actions
then, you are at the right place.

Our financial models can help you assess new business opportunities, raise capital, and analyze other highly important aspects related to investments.

A new business opportunity needs a good financial feasibility study. Our experts are here to analyze your opportunities and help you make an informed business decision, by testing several scenarios taking into consideration all the current and future factors which might have an impact upon the investment result.

Our model comes to complete your existing financial statements ( balance sheet, cash flow statement, and income statement) into a single financial model, which can be adjusted at any time according to the strategic objectives.

Whether it is balance sheets, income statements or even cash flow statements, at Dazz Management we can help you with any of your financial projections.

We have expert valuation techniques, and you can be sure that you will always obtain an accurate value of your investments based on cash flows in the future. We use accurate discount rates to provide precise investment values obtained from a robust cash-flow model.

Also, we base our projections on market research aimed at keeping up with the latest changes in the market and analyzing how newer developments can impact your business.