Investment Banking Support
Cash & Liquidity Management
We do forecasting the cash requirements of the business and prepare budgets, managing the credit collection, ensuring that shortfalls are avoided or minimized and that the business can always meet its financial obligations, releasing trapped cash.
Mergers & Acquisitions
We build the preliminary legwork for potential deals. We analyze industry prospects by gathering information about growth, competitors, and market share possibilities. We also review company fundamentals and financial statements to have the accurate learning about the deal.
Design & Drafting of reports
Generating end-to-end process design for delivery of presentation, Brochures, Newsletters.
Working capital enhancing
Establishing necessary banking relationships and providing working capital finance security. Extracting liquidity from working capital & releasing working capital.
Industry Information services
Industry research, precedent transaction, Comparable analysis, Benchmarking reports.
Equity Capital Markets solutions
Stay ahead in equity capital markets, with our leading ECM data, insights, & the latest information for assisting in getting the aspirational portfolio.