One report to start. A retainer if you want to keep it current.
Straightforward pricing, no packages to decode. Here is exactly what you get and what it costs.
The Clarity Report
A single, thorough look at your cash flow, profitability, and viability, built from the numbers you already have.
Cash flow analysis
Where money is actually coming from, where it's going, and where it gets stuck along the way.
P&L snapshot
Revenue, costs, and margin laid out clearly, with one-off costs separated from the real run rate.
Viability assessment
An honest read on runway, burn rate, and whether the model holds up at its current pace.
Next steps
A short, specific list of what to fix or watch before your next scaling or funding decision.
What this isn't
Flowmont is not an accounting firm. We don't file taxes, and we don't do legal or compliance work. The Clarity Report is a read on your numbers, not a substitute for a chartered accountant or a lawyer.
Monthly Retainer
For after the report, if you want your numbers kept current instead of checking in once and going dark.
- Ongoing cash flow tracking
- Updated P&L each month
- A monthly check-in on the numbers
- Early flag on runway or margin shifts