Financial Readiness

Financial Readiness

Ensuring historical financials are audit-ready and IFRS-compliant with clarity on revenue recognition, tax structures, and segment disclosures.

From historical re-statements to forward-looking models, we guide your finance function through every stage of readiness. Our coordinated approach ensures alignment with auditors, advisors, and listing authorities to minimize risk and maximize credibility.

  • Review historical financials (2–3 years) to ensure compliance with IFRS or Ind-AS standards, and address re-statements if required
  • Develop robust financial forecasting models with scenario analysis to support valuation and investor roadshows
  • Identify and mitigate key financial risks including debt structure, revenue recognition, segment reporting, and tax exposures
  • Coordinate across finance, legal, and tax advisors to prepare for diligence and ensure accurate documentation

How we add value

We equip CFOs and finance teams with the tools and insights to navigate financial scrutiny and instill investor confidence.

  • IPO Financial Diligence Report: Comprehensive review of financial history, compliance, and red-flag issues
  • Forecast Model (DCF & Comps-Based) : Investor-facing financial projections with scenario and valuation sensitivity
  • Audit Readiness Checklist: Detailed checklist to prepare internal teams and external auditors for a clean audit
  • Pre-IPO Internal Controls Assessment : Evaluation of systems and processes to ensure strong internal financial controls