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Transactions & valuations

Support through buy-side and sell-side moments: quality of earnings, working capital targets, and the reporting structure you need the day after close.

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How we help

We assist with financial due diligence — normalised earnings, working capital pegs, and debt-like items — in language deal teams and investors can act on. Our work is evidence-based: schedules, tie-outs, and clear assumptions.

Purchase-price mechanisms and completion accounts need precision. We help draft mechanisms, review counterparty schedules, and flag areas where definitions create dispute risk.

Post-close, we set up reporting so the combined entity actually runs: chart of accounts mapping, consolidation rules, and the first 100-day reporting cadence.

Tell us what needs to be true by quarter-end.