Financial modelling and transaction support
If you are entering an asset, preparing an M&A deal, assessing a project's future economics or seeking to make it legible for an investment committee, we help translate the project into the language of numbers, risks and decisions.
What the practice includes
What We Do
- We prepare the financial model for an energy, extractive or infrastructure project.
- We calculate capex, opex, revenue drivers, cash flow, sensitivity analysis, scenarios and stress cases.
- We prepare the valuation logic for the asset or project.
- We structure the financial block of due diligence.
- We provide transaction support for a purchase, sale, investor entry or internal investment decision.
- We put together the investment note, the management deck, the data room logic and the package of materials for an already identified investor or lender.
- We support negotiations on pricing logic, risk allocation, payment mechanics and control rights.
When It Is Appropriate
- You are buying or selling an energy or resource asset.
- You are preparing a project for an investor's entry.
- You need a clear model for BESS, distributed generation, cogeneration or an extractive asset.
- You have an asset but no suitable investment package of materials.
What You Get
The company does not promise a result where it depends on a decision of the regulator, a court or a third party. We outline the boundaries of the mandate and the roadmap as early as the diagnostics stage.
Financial Model
Capex/opex, cash flow, scenarios and stress cases.
Assessment Logic
A substantiated value of the asset or project.
Investment package
A memo, a management deck and the data room logic.
Negotiating position
Price, risk allocation and the mechanics of payments.