Fundraising model for a hospitality group
Built a fully integrated three-statement model and valuation to support a growth funding round, structured to withstand investor due diligence and scenario stress-testing.
A selection of engagements delivered for clients across sectors and regions. Client identities are withheld in keeping with our confidentiality commitments; the work, and its outcomes, speak for themselves.
Built a fully integrated three-statement model and valuation to support a growth funding round, structured to withstand investor due diligence and scenario stress-testing.
Designed and implemented a VAT compliance process across multiple GCC jurisdictions, resolving historic filing gaps and establishing a reliable monthly reporting cycle.
Prepared a contracting company for its first statutory audit, building working papers, restating work-in-progress on a compliant basis, and managing the auditor relationship end to end.
Provided ongoing CFO-level support to a multi-site healthcare group, reshaping management reporting, improving cash flow visibility, and supporting a successful expansion decision.
Conducted a full controls review across cash handling, procurement, and inventory for a multi-outlet retailer, closing exposure points and reducing reconciliation variances materially.
Restructured the financial reporting of an industrial supply business onto a clean IFRS basis, producing lender-ready statements that supported a new banking facility.
Prepared an independent valuation to support the buyout of a departing shareholder, combining discounted cash flow and market-multiple approaches into a defensible range.
Reviewed the group structure of a professional services business, implementing a compliant arrangement that reduced the effective tax burden while satisfying every filing obligation.
Migrated a fast-growing online retailer onto a clean cloud accounting stack, clearing a backlog of unreconciled transactions and establishing reliable monthly management accounts.
Stepped in during a working-capital crunch, rebuilding the 13-week cash flow forecast, renegotiating supplier terms, and restoring a stable liquidity position within a quarter.
Provided independent assurance over restricted-grant expenditure for a community organisation, giving funders confidence that every pound was accounted for and correctly applied.
Assessed fraud exposure across procurement and payments for a regional logistics operator, introducing segregation-of-duties controls and an approvals matrix that closed key gaps.
Each case above is a real engagement, presented without names, figures, or identifying details. This isn't a limitation. It's a deliberate standard, and it's the same standard we would want applied to our own business.
A company's financial position is among its most sensitive information. We never publish client names, financial figures, or any detail that could identify a business, on our website or anywhere else.
Every engagement carries an internal reference (such as VX-2401). The codes let us speak precisely about specific work in private conversation, without exposing anything publicly.
When it's relevant to your needs and we have the client's consent, we're glad to discuss comparable engagements in detail during a confidential conversation. Just ask.
Verixa rebuilt our financial reporting from the ground up. For the first time, we understand our numbers properly, and our bank noticed the difference immediately.
Their financial model was the centrepiece of our funding round. Clear, credible, and built to a standard our investors took seriously from the first meeting.
Responsive, precise, and invested in our growth. Verixa feels less like an outside firm and more like our own finance team.
Tell us what you're working towards, and we'll show you how we can help you get there.
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