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Solutions

Over a period of 3 months, MMG:

  • Upgraded financial reporting to meet Board of Director and investor requirements
  • Created rolling 6-month cash flow forecast that accurately predicted cash requirements
  • Built integrated five-year forecast model that included balance sheet, P&L, and cash flow forecast
  • Created a customized CFO manual and policies and procedures to ease on- boarding of a permanent CFO
Interim CFO / Controller / FP&ABio-Tech / Startups