In certain financing situations, providing projections is critical to the success of the transaction. It is especially important when:
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The repayment of the funds depends on the cash flow generated by the underlying purchase of a new assets, expansion, or high growth; or
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When the Borrower is completing or has completed a major merger or acquisition which will significantly impact the appropriateness of historical financial statements in evaluating ongoing Borrower risk; or
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When the Borrower is undergoing or has undergone a substantial balance sheet restructuring, such as a leveraged buyout, which would render historical financial statements irrelevant to the assessment; or
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When the borrower is a new company and there are no fiscal year-end statements available.
We can deliver customized, GAAP-compliant financials and charts that outperform any off-the-shelf software, templates, or outlines on the market. Our projections includes Full Monthly Forecasts for Months 1-12 and Full Yearly Forecasts for Years 1-5, including Income Statement, Balance Sheet, Cash Flow Statement, Ratio Analysis, and other key Reports.