Making finance simple.

Enhance your performance with smart, fact-based decisions. Choose our flexible monthly subscription or engage us for specific projects.

FRACTIVE Planning

Monthly Financial Services

Monthly subscription to a comprehensive financial management package. Our service includes setting and reviewing targets, modeling growth, controlling spending, managing cash flow, tracking performance, allocating capital, and reporting to stakeholders. This package features monthly CFO calls to ensure ongoing, tailored financial oversight.

FRACTIVE Systems

One-Off Project

One-time project dedicated to establishing and enhancing your financial processes. We assist in selecting the right tools and systems, standardizing, and automating key financial tasks. Our goal is to empower you to efficiently manage your finance operations independently, ensuring long-term operational efficiency.

FRACTIVE Fundraise

One-Off Project

Tailored support for your fundraising endeavors. We specialize in reviewing financials, preparing for investor discussions, and assisting with essential financial documentation for the data room. Our expertise ensures you are well-prepared and confident in presenting your business to potential investors.

We want you to be 100% confident before making a commitment.

We want you to stay because you see the value in our partnership and this is why our services are designed with two key principles in mind:

KNOWING EACH OTHER

Before we dive into a long-term relationship, we offer a free financial health check. We'll discuss the potential scope of our cooperation, ensuring you're completely confident of the return on investment.

MONEY-BACK GUARANTEE

If you are not happy with the service you receive, the subscription can be canceled anytime during the month, and you'll be reimbursed with the full amount.

Key areas of expertise:

STRATEGIC PLANNING

Testing and optimizing your business strategy for financial viability, understanding the organization's current status, envisioning its future, and determining the necessary resources and steps to get there.

PERFORMANCE TRACKING

Establishing annual financial goals and continuously assessing the actual performance against the targets to confirm the progress. Contrasting actual revenues and expenses to detect any deviations.

BUDGETING & FORECASTING

Predicting future performance based on assumptions about future sales growth, expense growth, and other factors that might affect the company's finances (including income statements, balance sheets, and cash flow statements).

CASH-FLOW MANAGEMENT

Managing the flow of money in your business, ensuring liquidity and financial stability while enabling growth. This includes understanding revenue streams, managing costs, and optimizing  transactions timing.

SCENARIO MODELLING

Forecasting the future outcomes of a business, investment, or any decision-making process by creating different plausible scenarios based on various variables and assumptions. 

MANAGEMENT REPORTING

Producing regular statements that disclose financial status and performance over a set period. Providing critical information about the company's profitability, financial health, and cash flow.