Post-deal integration
Chart of accounts, reporting, and control alignment after closing.
What this service covers
Financial due diligence, valuation support, and post-merger finance integration. Deals executed with the numbers verified. Delivered as a managed Oveersea service with defined scope, owners, service levels, and monthly reporting — so results are measured, not assumed.
Verified
Numbers before signing
Modelled
Deal scenarios and returns
Integrated
Finance functions post-close
Delivered together with
Financial due diligence
Quality of earnings, working capital, and liability review.
Valuation support
Financial models and sensitivity analysis for negotiations.
Data room management
Financial documentation organised for buyer or seller review.
Deal structuring advisory
Transaction structure evaluated for tax and financing efficiency.
Synergy tracking
Post-merger synergy targets tracked against realised savings.
Purchase price allocation
Asset and liability valuation for accounting purposes post-close.
Warranty and indemnity review
Financial claims under sale agreements reviewed and quantified.
Best for
- Acquirers and sellers
- Private equity investors
- Group holding companies
Works with
- Investment Advisory
- Corporate Secretarial & Compliance
- Financial Reporting & Close Management