Institutional-quality financial models built to Wall Street standards — DCF valuation, 3-statement projections, LBO models, and cap table analysis for US companies raising capital or planning M&A.
WACC-based DCF models with multi-year projections, terminal value (Gordon Growth & Exit Multiple), and comprehensive sensitivity analysis.
Fully integrated Income Statement, Balance Sheet, and Cash Flow Statement with dynamic linkage and auditable assumptions.
Leveraged buyout models for PE transactions — entry/exit multiples, debt schedules, IRR/MOIC analysis, and returns waterfall.
Pre and post-money cap table, option pool modeling, anti-dilution provisions, and waterfall distribution analysis.
Bear, base, bull scenarios with tornado charts and two-way sensitivity tables across key revenue and cost drivers.
ARR/MRR waterfalls, cohort LTV/CAC, payback period, and Rule of 40 analysis for venture-backed companies.
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