Controller-Level Financial Oversight Without Full-Time Overhead
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13-week rolling cash flow forecast
Working capital optimization
Scenario modeling and planning
Liquidity risk monitoring
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Month-end close structure
Accounting policy alignment (ASPE or IFRS as applicable)
KPI dashboard development
Board-ready reporting packages
Monthly financial review and management reporting
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Process mapping
Accounting software optimization
AP/AR automation
Internal controls implementation
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Chart of accounts restructuring
Accounting system setup (Quickbooks, Xero, and similar platforms)
Reporting framework implementation
Historical financial cleanup and reconstruction
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Monthly fractional controller retainers
Project-based system implementations
Financial process rebuild engagements
Accounting cleanup and reporting stabilization engagements