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Corporate Finance & Fundraising

Corporate Finance, Fundraising & Financial Modelling Services

Build a stronger financial foundation for growth with CFO-led corporate finance and fundraising advisory. At JJJ & Company LLP, we help businesses prepare investor-ready financial models, funding strategies, debt proposals, cash flow forecasts, and financial projections that support confident discussions with investors, banks, and financial institutions.

Our financial modelling and fundraising support is designed to improve funding readiness, strengthen business planning, and present credible financial numbers that help management negotiate from a position of confidence.

Fundraising ReadinessFinancial ModelsDebt AdvisoryInvestor Support
Corporate Finance & Fundraising Enquiry

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Trusted Across Diverse Business Sectors

Gerresheimer
Leverage
Bureau Veritas
Ultrasyst Systems
UFLEX
Meitra Hospital
IRUS
JJJ Client
Kidys Bakery
MK Engineering Works
Bhanu Biotech
Saish Medical Solutions
Bio Petro Clean
Kartik Speciality Coatings
Delta Bioscience
Corporate Finance & Fundraising Overview

Build a finance case that survives investor and lender scrutiny.

Raising capital requires more than a compelling presentation. Investors and lenders evaluate the financial strength, sustainability, and growth potential of your business before making funding decisions. A well-prepared finance case demonstrates how capital will be used, how risks are managed, and how the business will achieve measurable financial milestones.

At JJJ & Company LLP, we build robust financial models, funding strategies, cash flow projections, unit economics, working capital analysis, and scenario planning that help businesses present credible numbers with confidence during fundraising and debt discussions.

Equity Fundraising Support

Prepare financial narratives, data-room materials and management responses for investor review.

Debt & Structured Finance

Assess borrowing capacity, cash coverage, security and lender information requirements.

Financial Modelling

Create integrated profit, balance-sheet and cash-flow models with scenarios and sensitivities.

Funding Readiness Review

Identify gaps in reporting, controls, forecasts and transaction documentation before outreach.

Strategic Perspective

The strongest fundraising story connects capital required to cash runway, milestones and investor returns.

We challenge assumptions before external parties do and reconcile the forecast to historical operating evidence.

The model should show how revenue, margins, hiring, capex and working capital translate into cash.

Our support complements—not replaces—management's investor relationships, legal advice or regulated capital-market intermediation.

What Our Review Covers

Advice is tailored to the proposed activities, stakeholders and timeline.

Equity Fundraising Support
Debt & Structured Finance
Financial Modelling
Funding Readiness Review
Scope of Services

Support across the complete requirement.

Equity Fundraising Support

Prepare financial narratives, data-room materials and management responses for investor review.

Debt & Structured Finance

Assess borrowing capacity, cash coverage, security and lender information requirements.

Financial Modelling

Create integrated profit, balance-sheet and cash-flow models with scenarios and sensitivities.

Funding Readiness Review

Identify gaps in reporting, controls, forecasts and transaction documentation before outreach.

When This Service Matters

Situations that call for timely professional support.

Growth Capital Required

Quantify funding needs and milestone-based deployment.

Debt Refinance or Expansion Loan

Present cash coverage, security and repayment capacity.

Investor Diligence Underway

Respond with consistent financial analysis and evidence.

Board Needs a Decision Model

Compare strategy, funding and downside scenarios.

Regulatory & Commercial Framework

Key areas that shape the engagement.

Strategy

Use of funds

Connect capital to initiatives, milestones and value creation.

Model

Forecasts

Integrate profit, balance sheet, cash flow and scenarios.

Capital

Instrument

Compare equity, debt and hybrid implications.

Readiness

Evidence

Align reporting, data room and management narrative.

How We Work

A structured route from assessment to completion.

01

Diagnose

Review strategy, reporting quality and funding objective.

02

Model

Build or strengthen the integrated forecast.

03

Prepare

Create financial materials and a diligence-ready data set.

04

Engage

Support management responses and financial discussions.

05

Evaluate

Compare offers, dilution, covenants and execution risks.

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Corporate Finance & Fundraising Graphic
Information Required

What should you prepare for the initial review?

Historical financial statements
Current management accounts
Operating KPIs and unit economics
Business plan and use of funds
Existing debt and security details
Capitalisation table
Customer pipeline and contracts
Prior investor or lender materials
Risk & Readiness

A polished model cannot compensate for unsupported assumptions.

We trace forecast drivers to operational evidence, expose cash shortfalls and test downside cases. This makes the funding discussion more credible and gives management a usable planning tool after the transaction.

Need clarity on your next step?

Discuss Your Requirement
Corporate Finance & Fundraising Advisors

Why businesses work with JJJ & Company LLP.

At JJJ & Company LLP, we combine Corporate Finance Advisory, Financial Modelling, Business Valuation, and Virtual CFO Services to help businesses prepare for fundraising, expansion, acquisitions, and strategic financial planning. Our advice is practical, investor-focused, and built around long-term business growth.

Strategic Financial Planning

Funding decisions supported by financial forecasting, budgeting, and cash flow planning.

Integrated Business Valuation & Modelling

Financial models aligned with valuation, profitability, working capital, and growth assumptions.

Debt & Equity Fundraising Advisory

Support for bank finance, venture capital, private equity, startup fundraising, and investor readiness.

CFO & Management Decision Support

Actionable financial insights for fundraising, mergers, business expansion, corporate tax planning, and ongoing financial management.

Frequently Asked Questions

Common corporate finance & fundraising questions.

Do you arrange funding?
We provide finance advisory, preparation, analysis and transaction support. Any introduction or regulated activity is separately defined and undertaken only where legally permitted.
What should a fundraising financial model include?
It should integrate revenue drivers, costs, working capital, capex, financing, profit, balance sheet, cash flow, scenarios and key investor metrics.
Can you help choose between debt and equity?
Yes. We compare cost, dilution, cash-servicing capacity, covenants, control and strategic flexibility.
What is fundraising readiness?
It is the state of having credible financials, a defendable plan, a clear use of funds, organised data-room evidence and management alignment.
Do you prepare pitch decks?
We can develop or strengthen the financial and investment narrative and coordinate it with broader presentation materials.
Can you support lender negotiations?
We can support financial analysis, information responses and term comparisons; legal counsel should review definitive documentation.
Reviewed by JJJ & Company LLP Chartered Accountancy Team · Last reviewed: September 2026
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