OUR SERVICES

Financial Planning & Analysis (FP&A)

Budgets, forecasts, variance analysis and financial models that show where your business is heading and why. Your team plans with confidence instead of reacting to last month's results.
What Are FP&A Services?
Forward-looking financial insight without building an in-house FP&A team.
Financial planning and analysis turns your accounting data into a plan for the future. We build your budget, maintain rolling forecasts, analyze performance against plan and model the impact of key decisions. Leadership gets a clear, numbers-based view of where the business is going, not just where it has been.
Your accounting team records and reports what already happened. FP&A explains why it happened and what is likely to happen next. We dig into revenue drivers, costs, margins and cash, identify trends early, and translate them into practical recommendations for pricing, hiring, spending and growth.


FP&A services are a strong fit for growing companies that have reliable books but no budget or forecast, businesses whose results regularly surprise management, companies preparing for lender or investor scrutiny, and leadership teams that want to make decisions based on data rather than instinct.

FP&A Services for Growing Businesses

A structured planning process that connects your numbers to your growth strategy.
Budgeting & Forecasting
Annual budgets and rolling forecasts built from your actual results and business drivers.
Variance & Performance Analysis
Monthly budget-to-actual analysis that explains what changed, why, and what to do about it.
Scenario & Decision Modeling
Financial models that show the impact of pricing, hiring and investment decisions before you commit.

Our Financial Planning & Analysis Services

Planning and analysis tailored to your business. These are the areas where we spend most of our time.
Who Needs FP&A Services?
Businesses that have reliable books but need a clear plan and better insight to grow.
  • Fast-Growing Companies
    Budgets and forecasts to manage rapid growth without running short of cash.
  • Owner-Led Businesses
    Financial models and analysis to back up every major decision.
  • Companies Seeking Financing
    Credible projections for lenders and investors.
  • Businesses With Boards
    Regular KPI reporting and variance analysis for outside stakeholders.
  • Seasonal Businesses
    Cash projections to get through slow periods and plan for busy ones.
  • Businesses With Shrinking Margins
    Profitability analysis to find out where profit is being lost.
Our FP&A Process
From first conversation to a working budget and forecast, here's what to expect.
Discovery call
We learn about your business model, revenue drivers, current reporting and the decisions leadership needs better data for.
Fixed-fee proposal and engagement letter
You receive a defined scope, a fixed monthly or project fee, and a timeline before any work begins.
Data review and driver analysis
We review your historical financials and operating data to identify the drivers behind revenue, costs and cash.
Budget, forecast and reporting build
We build your budget, rolling forecast, financial model and monthly reporting package, and agree on the KPIs that matter most.
Monthly analysis and updates
Each month we compare results to plan, explain variances, update the forecast and meet with leadership to review what's changed.

Frequently Asked Questions