
P&L report
A clear view of revenue, costs, margins and net profit, structured around how your business really works.
Cash Flow overview
Inflows, outflows and projected balances, so you can anticipate cash gaps instead of reacting to them.
Estimated taxes ratio
A monthly view of expected Corporate Tax and VAT, with no end-of-year surprises.
Full reconciliation
Every account reconciled, every discrepancy investigated, every balance tied back to reality.
Insights &
recommendations
Commentary on trends, risks and opportunities — with simple, practical next steps.
Break-even analysis
A current break-even point and performance against it, so you know how safe your margins are.