Building resilient financial systems that unlock cash flow, fund growth, and ensure accountability.
Whether you’re navigating indirect costs on a state contract, preparing for a major bank review, or just trying to understand why cash seems tighter than profits suggest, we help owner-operators see the real numbers and make them work harder.
Indirect Rate Optimization: Structure pools & allocations for contracts.
Cash Conversion Cycle: Speed up receivables, manage payables, tighten working capital.
Cost Structure Clarity: Line by line, vendor by vendor.
Bank & Investor Readiness: Financial story that withstands scrutiny.