Outsourced CFO
Financial Strategy and Leadership
We deliver the financial leadership that powers growth, safeguards profitability, and secures long-term success. We provide board-level insight keeping your business agile, decisive, and ahead of the curve
Driving Strategic Clarity and Financial Control
As your Outsourced CFO, we bring strategic oversight, disciplined financial management, and forward-looking insight to guide your business with confidence. From cash flow and profitability to forecasting, reporting, and growth planning, every decision is backed by clear data and practical advice.
We provide seasoned executive financial leadership. With CCFC, you gain a trusted partner who strengthens your financial foundation and positions your business for long-term success.” Whether you’re starting up, scaling, or restructuring, we help you strengthen control, improve profitability, and make confident, future-ready decisions.
Strategic CFO Leadership
We partner with business owners and boards to provide detailed financial leadership.
- Develop long-term financial strategies aligned with business goals.
- Translate ideas into measurable outcomes with clear milestones (3, 6, 12, 24, 36 months).
- Provide board-level insight, oversight, and decision-making support.
Outcome: You gain a trusted financial director who plans, measures, and guides your company’s growth.
Budgeting & Forecasting
Budgeting is the heartbeat of financial stability. Without it, businesses risk survival.
- Build line-by-line budgets across revenue, operating expenses, payroll, and capital expenditure.
- Run scenario planning models to assess opportunities and risks.
- Produce forward-looking cash flow projections and funding requirements.
- Provide risk-adjusted insights that keep directors fully informed.
- Align financial plans with strategic growth objectives and investor expectations.
Outcome: A clear financial roadmap that keeps your business on track and resilient.
Outsourced CFO Support
We step in at a CFO level, bringing structure, reporting, and insight to your finances.
- Transform ERP and Accounting data data into meaningful management reports that drive decisions.
- Manage working capital cycles: debtors, creditors, and supplier accounts.
- Deliver timely monthly income statements, balance sheets, and management accounts.
- Analyse variances, pinpoint risks, and provide actionable executive recommendations.
- Prepare forward-looking cash flow forecasts to anticipate funding needs.
- Ensure directors have the right insights at the right time to act decisively.
Outcome: Reliable monthly reporting that empowers smarter, faster decisions.
Performance & Growth Advisory
Beyond compliance, we help you grow sustainably and profitably.
- Conduct margin analysis by product, service line, or customer segment.
- Identify growth opportunities and the key drivers of profitability.
- Build detailed margin and variance reports to guide pricing, investment, and strategy.
- Design complex financial models to evaluate restructuring, expansion, or capital projects.
- Prepare robust business cases that secure board approval and funding.
- Deliver analytical insights from financial data that sharpen executive decision-making.
Outcome: Clarity and confidence to grow margins, secure funding, and scale successfully.c
Cash Flow & Working Capital Optimization
Cash is the lifeblood of your business. We help you unlock it and keep it flowing.
Debtors (Accounts Receivable)
- Fix cash flow problems with tailored credit policies and debtor management.
- Reduce debtor days and accelerate collections.
- Proactively monitor age analysis to minimize overdue risks.
- Implement credit strategies that can improve liquidity by up to 30%.
Creditors (Accounts Payable)
- Optimize creditor days to preserve cash while maintaining strong supplier relationships.
- Review and renegotiate supplier terms for more favorable outcomes.
- Enhance creditor reporting to improve financial control and visibility.
Stock (Inventory)
- Identify and clear aged or slow-moving stock.
- Establish efficient processes for ordering, delivery, and receipting.
- Align stock levels with demand planning to reduce excess and free up capital.
Outcome: More cash in your business, less tied up in debtors, creditors, or stock.
Our Services Cover The Following Areas
Strategic CFO Leadership
We partner with business owners and boards to provide high-level financial leadership.
- Develop long-term financial strategies aligned with business goals.
- Translate ideas into measurable outcomes with clear milestones (3, 6, 12, 24 months).
- Provide board-level insight, oversight, and decision-making support.
Outcome: You gain a trusted financial director who plans, measures, and guides your company’s growth.
Budgeting & Forecasting
Budgeting is the heartbeat of financial stability. Without it, businesses risk survival.
- Line-by-line budgeting for revenue, expenses, payroll, and capex.
- Scenario planning to prepare for risks and opportunities.
- Cash flow projections that show exactly where your company stands.
- Risk management to give directors visibility on outcomes of their decisions.
Outcome: A clear financial roadmap that keeps your business on track and resilient.
Outsourced CFO Support
We step in at a CFO level, bringing structure, reporting, and insight to your finances.
- Build reports from your existing bookkeeping system.
- Manage debtors, creditors, and supplier accounts.
- Prepare monthly income statements, balance sheets, and management accounts.
- Analyse variances, identify issues, and provide actionable recommendations.
- Prepare cash flow forecasts that keep your business future-focused.
Outcome: Reliable monthly reporting that empowers smarter, faster decisions.
Cash Flow & Working Capital Optimization
Cash is the lifeblood of your business. We help you release it and keep it flowing.
Debtors
- Fix cash flow problems with tailored credit policies and debtor management.
- Optimize debtor days and improve collections.
- Deep dive into age analysis to prevent overdue risks.
- Implement credit policies that can boost cash flow by up to 40%.
Creditors
- Optimize creditor days to protect liquidity.
- Review supplier terms and renegotiate where possible.
- Improve creditor reporting for better financial control.
Stock
- Review and clear aged stock.
- Design procedures for ordering, delivery, and receipting.
- Compare stock levels to demand planning and reduce excess inventory.
Outcome: More cash in your business, less tied up in debtors, creditors, or stock.
Performance & Growth Advisory
Beyond compliance, we help you grow sustainably and profitably.
- Margin analysis by product, service, or customer.
- Identify growth opportunities and key profit drivers.
- Develop detailed margin reports to guide pricing and strategy.
- Build complex financial models for investment or restructuring.
- Prepare business cases that win board approval and funding.
- Analytical review of financial data for sharper decision-making.
- Support with loan document reviews, reconciliations, and month-end processes.
Outcome: Clarity and confidence to grow margins, secure funding, and scale successfully.
Every business journey is unique. That’s why we work alongside you—listening, advising, and tailoring solutions that support your goals while keeping growth steady and sustainable. Together, we build the clarity and confidence you need to make decisions that shape long-term success.
Get started with our outsourced CFO services.
Get started with our outsourced CFO services and gain expert financial guidance to manage cash flow, make informed decisions, and drive your business toward sustainable growth and long-term success.