Services Overview

POINT NUMERA β€” SERVICES OVERVIEW PAGE

Contact Us

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Complete Description


Turn your projections into a clear 3–5-year financial roadmap. We integrate your P&L, balance sheet, and cash flow into one coherent model that guides strategic decisions, funding, and growth.

Service Objective


Provide a realistic and evidence-based long-term plan that helps founders understand where the business is heading, what is financially feasible, and what needs to change to reach their goals. The objective is to establish clarity by building a structured model that supports growth, investment decisions, hiring plans, price adjustments, and cash flow management.

Benefits


Ideal Client


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Process & Methodology


  1. Discovery Session

    Understand business model, goals, and current financial structure.

  2. Data Collection & Review

    Analysis of existing financials, cost structure, revenue drivers, and cash cycles.

  3. Model Development

    Build a 3–5-year integrated P&L, balance sheet, and cashflow forecast using realistic assumptions.

  4. Scenario Planning

    Create alternative paths (e.g., base, conservative, and aggressive cases).

  5. Review & Refinement

    Walk through the model, validate assumptions, and adjust as needed.

  6. Final Delivery

    Provide the full model, summary insights, and strategic recommendations.

Deliverables


Estimated Duration


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Pricing & Packages


Feature Basic - € 1.550 Full - from € 2.750
Discovery call βœ… βœ…
Financial review 🟩 Standard 🟩 Extended (deep-dive)
Forecast model 1 scenario 3 scenarios + dashboard
Review sessions 1 2–3 rounds
Support Email follow-up Ongoing advisory during project
Deliverables Summary PDF Full interactive model + presentation
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Success Stories or Previous Projects


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Frequently Asked Questions


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