We focus on delivering analytics and financial models in Excel to support financial planning, risk analysis and strategic decision-making.
Our services are unique because we draw upon a comprehensive and standardized model toolbox that makes us able to provide services with a higher quality and more efficiency.

Our customers primarily ask for our services if they have a
concrete need for external help in making certain analytics (e.g.
risk analysis/covenant analysis, M&A scenarios, project
evaluations etc) or because they have a need for financial planning
tools to solve specific needs (e.g. rolling forecasting, cash flow
analysis, strategic reporting etc).
Our ability to create the right analytical overview that is easy to communicate throughout the organization makes us an valuable partner to you and your company.
Welcome to our homepage.
1. Financial Planning tools in Excel
Best practice, IFRS/GAAP-consistent models for
financial planning.
2. Risk-adjusted financial planning
Dynamic financial models that lets you simulate
uncertainty into your forecasts.
3. M&A tools in Excel
Our DealAnalyzer makes you able to do integrated
analysis of mergers and acquisitions while still being
consistent with IFRS/GAAP.
4. Treasury tools in Excel
Our treasury tools are powerful tools to do forecasting
based on portfolios and financial instruments.
5. Decision-analysis
We can help you with forecasting, risk analysis and
decision-support.
Example: Buy a complete risk analysis of your strategic plan or budget forecast, based on a thorough risk analysis and a subesquent simulation of your financial forecasts.
Read more about our analytics here