Build a realistic budget and stay in control of your cash. We help you plan monthly/quarterly budgets, set targets, and create a simple cash-flow forecast (e.g., 3 months) so you always know what’s coming in, what’s going out, and what actions to take.
Turn your business data into clear insights. We define the right KPIs (sales, margin, burn rate, receivables, costs), track them regularly, and set up a performance review routine so you can manage your business with confidence—not guesswork.
Your numbers, visualized—clean, automated, and easy to use. We create custom dashboards for income/expenses, cash tracking, KPIs, and reporting—so you can see the whole picture in minutes and share professional reports with partners or stakeholders.
Save time every month and reduce manual work. We streamline your reporting flow (templates, data structure, checks) and automate recurring tasks where possible—so your finance routine becomes faster, more accurate, and consistent.
Make your operations safer and more reliable. We help you set up practical controls (approval steps, documentation, basic reconciliations, file structure, and tracking) to reduce errors, improve transparency, and support better financial discipline.
Learn finance in a clear, structured way—step by step. Workshops and coaching for students and professionals: corporate finance basics, financial analysis, forecasting, and decision-making—explained in a practical way that connects theory to real cases.
Upgrade your Excel skills for finance and business. Hands-on sessions covering dashboards, formulas, cash-flow models, scenario analysis, templates, and reporting structures—so you can build your own tools confidently.
Finance made simple for non-finance founders. Learn how to read your numbers, manage cash, price correctly, understand costs, and build a healthy routine—without complex jargon.
Flexible learning, available in French and English. Online coaching, workshops, and learning support for entrepreneurs and students—ideal for international founders or bilingual teams.
Support for day-to-day finance admin (non-regulated). Help with document formatting, invoicing follow-up, organization of paperwork, basic vendor reconciliation, cash book maintenance, and data entry—without regulated accounting/tax filings.
Basic – €250/month
Standard – €450/month
Premium – €650/month