Corporate Finance
We make finance raised by your business work for your business.
Strong corporate finance isn’t just about securing funds—it’s about making confident decisions at every stage of growth.
At Marsh Accounting, we combine clear advice, disciplined analysis and practical support so you can plan ahead, protect cash, and create value.
Shareholder dividends, and debt repayments need to be carefully orchestrated to ensure that the smooth running and continued growth of the business is not jeopardised.
Moreover, while proper provision needs to be made for possible external change, such as economic downturns, fluctuations in exchange rates or interest rates, and internal changes such as temporary or permanent loss of key employees, it is equally important that any finance raised by the business is made to work for the business.
How We Can Help:
Financial Planning & Forecasting
Clean, driver-based budgets and rolling forecasts that link to your goals. We build models you can actually use, with simple scenario switches for “what if?” decisions.
Cash flow & Working Capital
Week-by-week cash visibility, debtor and stock reviews, supplier terms, and simple actions that release cash without risking operations.
Valuation & Value Drivers
Clear valuation ranges and the levers that move them. Pricing, mix, churn, gross margin, CAC/LTV, utilisation, and more; so your team knows where to focus.
Covenants & Lender Relations
Covenant modelling, headroom analysis and quarterly packs that keep your lenders informed and onside.
FAQs
Q: Do you replace our existing accountant?
A: Not necessarily. We often work alongside your in-house team or external accountant, focusing on corporate finance and decision support.
Q: Can you work to tight timelines?
A: Yes. We set a clear scope and critical path so you know what will be delivered—and when.
Q: What tools do you use?
A: We work with common accounting platforms and build flexible models in Excel or Google Sheets that your team can maintain.