Models Catalog
Financial infrastructure models and modules, configured and delivered to FFI Standard compliance criteria.
Figures shown are starting-from references. Scope and investment are confirmed in the proposal following the Blueprint Diagnostic.
Configured packages addressing a specific financial infrastructure need. Each model is composed of individual modules.
A complete investor-grade financial model package for a Series A raise. Includes a fully integrated three-statement model, driver-based revenue forecast, unit economics, scenario analysis, and a formatted financial summary for the data room.
A comprehensive financial model for subscription and recurring revenue businesses. Covers ARR and MRR mechanics, cohort-based retention analysis, net revenue retention tracking, and a growth model calibrated to the company's acquisition dynamics.
A structured financial model for pre-Series A companies. Covers the three-statement foundation, cash management, early unit economics, and a twenty-four-month forecast with scenario analysis.
A fully diluted cap table with SAFE and convertible note modeling at cap-based and discount-based conversion prices, option pool governance, and a waterfall analysis across a range of exit scenarios.
A complete financial data room preparation package, structured to Level 2 FFI Standard compliance. Includes the investor-grade financial model, management accounts structure, financial summary, and a formal data room index.
A board-approved annual operating plan with departmental budgets, headcount planning at fully loaded cost, a monthly variance reporting template, and a KPI framework with documented metric owners and thresholds.
A precision unit economics model calibrated to the company's specific revenue model. Covers cohort-based lifetime value, fully loaded customer acquisition cost, payback period, and a growth scenario model connecting unit economics to the revenue forecast.
A multi-methodology valuation analysis covering discounted cash flow, comparable company analysis, and the venture capital method. Produces a documented valuation range with sensitivity analysis on the three most material assumptions.
A structured cash management model with a thirteen-week rolling cash forecast, net burn rate tracking using the correct net-burn methodology, and runway-to-milestone calculation connected to the use-of-proceeds plan.
A financial model for capital-intensive deep tech and hardware companies. Covers milestone-based capital deployment, long development cycle cash modeling, manufacturing cost structure, and a revenue forecast calibrated to hardware unit economics.
A full exit preparation model covering waterfall analysis across ten exit scenarios, preferred return calculations for each share class, strategic versus financial acquirer analysis, and a pre-diligence financial summary.
A financial model built to the specific requirements of the engagement, structured against the applicable FFI Standard compliance criteria for the relevant service layer and compliance level.
Individual building blocks. Any module can be delivered standalone or as part of a model.
Not sure which model applies? The Blueprint Diagnostic maps the company to the relevant layer and identifies the specific models required.