Due Diligence

  • Financial Statements Analysis

    Assessing your company's historical financial statements to validate accuracy and consistency. Our combined CFO and corporate advisory experience helps us to better validate the financial statements of a target company.

  • Quality of Earnings

    Assessing the sustainability and quality of earnings of your business, including the normalization of non-recurring items. We leverage our CFO experience with public and private companies to better quantify a target company’s true earnings capacity into the future.

  • Cash Flow Analysis

    Reviewing your company's cash flow patterns to understand liquidity and operational efficiency. Forecasting future cash flow is particularly important when analyzing a target company’s viability.

  • Debt and Liabilities

    Identifying existing debts and liabilities to fully quantify potential financial risks to your business. Undertaking a target company’s ageing accounts payable and its ability to meet its short-term obligations is often overlooked.

  • Forecasting

    Examining your company's financial projections to guarantee they are realistic and based on sound financial, economic and operational assumptions. Strategize works with the target company to fully understand the science and commercial reasons behind the forecast.

  • Key Performance Indicators

    Modelling out your business' key operational metrics that impact financial performance. Strategize’s extensive CFO and corporate advisory expertise will deliver added insight through the use of various financial and operational metrics on a target company.