Building The Financial Model for Your Contracting Business
Watch this 5-minute video from Equity Acceleration Partners CEO, Keith Knutter, as he explains how EAP connects sales, marketing and operations into our financial model for a complete picture of the 1-year to 3-year plan.
Equity Builder: Finance Focus
EAP Finance Coaches, a team of certified & experienced finance professionals, manage your financial model and establish a robust framework that helps you identify critical drivers and uncover potential vulnerabilities in your contracting business.
We Identify, Discuss and Solve Your Issues Related To:
Core Planning
Annual Budget Development: We create comprehensive financial plans that align with strategic objectives, establishing revenue targets, expense budgets, and capital allocation across departments and business units.
Rolling Forecasts: We regularly update financial projections based on actual performance and changing market conditions, typically done quarterly or monthly to maintain accuracy and relevance.
Strategic Planning Support: We conduct scenario analysis, evaluate investment opportunities, and provide financial modeling to support long-term business decisions.
Analysis and Reporting
Variance Analysis: We focus on comparing actual results to budgets and forecasts, identify significant deviations, and investigate root causes to understand performance drivers.
Management Reporting: We design executive dashboards, monthly financial packages, and key performance indicator (KPI) reports that provide insights into business performance.
Profitability Analysis: We examine margins by product line, customer segment, or business unit to identify areas of strength and opportunity for improvement.
Decision Support
Business Case Development We create financial models for new initiatives, acquisitions, or capital investments, evaluating return on investment and payback periods.
Cost Analysis: We examine operational expenses, identify cost reduction opportunities, and support pricing decisions through detailed cost structure analysis.
Cash Flow Management: We forecast cash needs, managing working capital requirements, and ensuring adequate liquidity for operations.
Performance Management
Financial Control: We establish budget controls, approval processes, and monitor systems to ensure spending aligns with approved plans.
Business Partnering We collaborate with department heads to understand operational drivers and translate business activities into financial impacts.
Process Improvement: We focus on streamlining financial planning processes, implementing new tools and systems, and enhancing the accuracy and efficiency of financial analysis.