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Outsourced FP&A And Accounting Services

Finance Discussion

Your Extended Finance Back-Office

Seamlessly delivered on demand

Financial Planning & Analysis
Finance Operations
Treasury Operations

At a fraction of in-house Cost

Drive Financial Clarity, Operational Efficiency, and Cash Control Through a Managed Finance Function.

From lean startups to established enterprises and investment-focused family offices, we deliver the structure, visibility, and financial intelligence you need to thrive.  

 Our services are built around three integrated pillars

FP&A, Finance Operations, and Treasury—designed to meet the diverse needs of modern businesses:​

Financial Planning & Analysis

Turn numbers into strategy. Drive growth with clarity.

We help founders, CEOs, and finance teams unlock actionable insights that fuel smarter decisions and faster growth. Our FP&A services provide the structure and visibility needed to navigate change, manage performance, and plan ahead with confidence.  

What We Deliver:

  • Strategic budgeting and rolling forecasts​
  • Scenario modeling and what-if analysis​ 
  • KPI dashboards and performance tracking​
  • Board and investor reporting packages​ 
  • Cash burn, runway, and unit economics analysis​ 
  • Financial modeling to support growth or fund raising​

Whether you're a startup shaping your path, an SME optimizing for scale, or a family office planning long-term wealth strategies—we turn financial complexity into clarity.

Finance Operations

Get the backbone of your accounting operations running smoothly.

We manage the day-to-day finance function with precision, compliance, and control—so you can focus on growth, not back-office burden. Our scalable operations team ensures your books are clean, your reports are timely, and your processes are built to scale.  

What We Deliver:

  • End-to-end bookkeeping (AR, AP, GL)​
  • Month-end and year-end close​ 
  • Internal controls and documentation​
  • Financial statement preparation (P&L, BS, CF)​
  • Payroll processing and reconciliations​  
  • Fixed asset and inventory accounting​  
  • Tax & compliance filings (e.g., VAT, ZATCA, WHT)​  
  • IFRS / GAAP compliance and audit readiness​ 
  • ERP setup, data integrity, and process automation​  
  • Intercompany and multi-entity consolidation​

From fast-growing startups to mature enterprises and family offices, we provide the operational finance to keep your business steady—and audit-ready.​

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Treasury Operations​

Secure your cash. Strengthen your position.

We help you gain full control over cash flow, funding, and financial risk—so you can manage liquidity confidently, meet obligations, and plan for what’s next. Our outsourced treasury support brings the expertise and systems typically reserved for large enterprises to your business.​

What We Deliver:

  • Cash flow forecasting (daily, weekly, monthly)​
  • Liquidity management and fund allocation​
  • Bank account and relationship management​
  • Debt and covenant monitoring​ 
  • Treasury reporting and dashboarding​ 
  • Centralized payment processing and controls​ 
  • Intercompany and intra-group funding coordination​  
  • FX exposure tracking and hedging support​ 
  • Treasury policy design and internal controls​ 
  • Support with ERP and Treasury Management Systems (TMS)

Whether you're stabilizing cash flows, scaling operations, or preparing for capital raises, we bring discipline and visibility to your financial position.  

Outsourced FP&A

Strategic financial insights, forecasting, and performance management

Gain a full-stack FP&A team—on demand—to turn numbers into foresight, discipline, and board-ready insight.​

Result: real-time visibility, data-driven decisions, and investor-grade forecasting—without the overhead of an in-house FP&A department.

  • Annual operating-budget build
  • Monthly/quarterly rolling forecasts
  • 3- to 5-year long-range plan
  • Department collaboration & consolidation
  • Forecast-accuracy review & refinement
  • Revenue / cost / break-even models
  • Sensitivity & “what-if” analysis
  • Driver-based forecasting templates
  • Business-case modelling for new products, markets, pricing
  • Monthly/quarterly performance packs
  • Custom KPI scorecards
  • Power BI / Tableau / Excel dashboards
  • Actual-vs-Budget-vs-Forecast variance drills
  • Flash and ad-hoc analytics
  • 13-week & long-term cash forecasts​
  • Runway & liquidity-gap analysis ​
  • Working-capital optimization​
  • Stress-test scenarios & funding-gap alerts​
  • Product / customer / segment P&L​
  • Margin & cost optimization reviews​
  • Fixed-vs-variable cost mapping​
  • Contribution & unit-economics analysis​
  • OPEX vs CAPEX planning​
  • Financial support for annual strategy cycles​
  • BU plans aligned to group goals​
  • Capital-allocation & ROI modelling​
  • Investment appraisals & M&A support​
  • Board deck creation & narrative​
  • Investor-ready financial summaries​
  • KPI tracking vs. investor expectations​
  • Earnings-guidance preparation (if listed)​
  • Trend and benchmark analysis​
  • Root-cause variance drills ​
  • Business-health dashboards​
  • Cohort, pricing, retention, churn analytics​
  • Map ERP data to planning models​
  • Automate budgets & forecasts via BI​
  • Integrate Anaplan, Adaptive, SAP BPC, etc.​
  • Annual operating-budget build
  • Monthly/quarterly rolling forecasts
  • 3- to 5-year long-range plan
  • Department collaboration & consolidation
  • Forecast-accuracy review & refinement
  • Revenue / cost / break-even models
  • Sensitivity & “what-if” analysis
  • Driver-based forecasting templates
  • Business-case modelling for new products, markets, pricing
  • Monthly/quarterly performance packs
  • Custom KPI scorecards
  • Power BI / Tableau / Excel dashboards
  • Actual-vs-Budget-vs-Forecast variance drills
  • Flash and ad-hoc analytics
  • 13-week & long-term cash forecasts​
  • Runway & liquidity-gap analysis ​
  • Working-capital optimization​
  • Stress-test scenarios & funding-gap alerts​
  • Product / customer / segment P&L​
  • Margin & cost optimization reviews​
  • Fixed-vs-variable cost mapping​
  • Contribution & unit-economics analysis​
  • OPEX vs CAPEX planning​
  • Financial support for annual strategy cycles​
  • BU plans aligned to group goals​
  • Capital-allocation & ROI modelling​
  • Investment appraisals & M&A support​
  • Board deck creation & narrative​
  • Investor-ready financial summaries​
  • KPI tracking vs. investor expectations​
  • Earnings-guidance preparation (if listed)​
  • Trend and benchmark analysis​
  • Root-cause variance drills ​
  • Business-health dashboards​
  • Cohort, pricing, retention, churn analytics​
  • Map ERP data to planning models​
  • Automate budgets & forecasts via BI​
  • Integrate Anaplan, Adaptive, SAP BPC, etc.​

Aligned budgets, up-to-date outlooks, and fewer surprises in spend or runway.

Decision-grade models that quantify risk, upside, and capital needs before you commit

One-click visibility for execs and managers, turning data into immediate action

Clear runway, early warnings, and options to bridge gaps with out panic

Higher margins and cost discipline rooted in hard economics, not guesswork

Resource allocation and investment decisions that maximize long-term value

Credible, story-driven reporting that builds trust and accelerates fundraising

Actionable insights that pinpoint growth levers and efficiency gains

Faster, error-free updates and a single source of truth across finance & ops

  • Invoice capture, coding & approval workflow​
  • Vendor reconciliations & query resolution​
  • Payment-run scheduling & execution​
  • AP ageing & cash-out forecasts
  • Customer invoicing & e-billing​
  • Collection calls, dunning & cash application​
  • AR ageing dashboards & credit limits
  • Dispute tracking & resolution
  • Month-, quarter- & year-end close​
  • Journal entries, accruals & allocations​
  • Inter-company & balance-sheet recs​
  • Chart-of-accounts design & governance
  • Capitalization & asset tagging​
  • Depreciation schedules & reviews​
  • Asset register maintenance​
  • Retirement & disposal accounting
  • Daily bank reconciliations​
  • Cash-position and liquidity reports​
  • Payment approvals & treasury support
  • Gross-to-net calculations & disbursements​
  • Payroll tax filings & compliance​
  • Expense reimbursements
  • Process & control documentation (SOX/ICFR)​
  • VAT/GST/ZATCA & indirect-tax prep​
  • Statutory & internal-audit liaison
  • Monthly P&L, BS, CF statements​
  • Departmental cost reports & KPIs​
  • Variance analysis & commentary​
  • Flash & ad-hoc reporting
  • Inventory valuation & adjustments​
  • COGS calculation & matching​
  • Cycle-count variance analysis
  • Vendor & customer master upkeep​
  • Cost-/profit-center and project codes​
  • Asset, material & service master governance
  • ERP data integrity & user support​
  • Finance-process automation/RPA​
  • Policy & SOP documentation
  • Invoice capture, coding & approval workflow​
  • Vendor reconciliations & query resolution​
  • Payment-run scheduling & execution​
  • AP ageing & cash-out forecasts
  • Customer invoicing & e-billing​
  • Collection calls, dunning & cash application​
  • AR ageing dashboards & credit limits
  • Dispute tracking & resolution
  • Month-, quarter- & year-end close​
  • Journal entries, accruals & allocations​
  • Inter-company & balance-sheet recs​
  • Chart-of-accounts design & governance
  • Capitalization & asset tagging​
  • Depreciation schedules & reviews​
  • Asset register maintenance​
  • Retirement & disposal accounting
  • Daily bank reconciliations​
  • Cash-position and liquidity reports​
  • Payment approvals & treasury support
  • Gross-to-net calculations & disbursements​
  • Payroll tax filings & compliance​
  • Expense reimbursements
  • Process & control documentation (SOX/ICFR)​
  • VAT/GST/ZATCA & indirect-tax prep​
  • Statutory & internal-audit liaison
  • Monthly P&L, BS, CF statements​
  • Departmental cost reports & KPIs​
  • Variance analysis & commentary​
  • Flash & ad-hoc reporting
  • Inventory valuation & adjustments​
  • COGS calculation & matching​
  • Cycle-count variance analysis
  • Vendor & customer master upkeep​
  • Cost-/profit-center and project codes​
  • Asset, material & service master governance
  • ERP data integrity & user support​
  • Finance-process automation/RPA​
  • Policy & SOP documentation

Timely payments, stronger supplier relationships, and accurate cost visibility

Faster cash-in, lower DSO, and healthier customer relationships

GAAP/IFRS-compliant books that close on time and stand up to audit

Accurate asset values, clean audit trail, and tax-aligned depreciation

Real-time view of cash and reduced idle balances

Error-free, on-time payroll and satisfied employees

Strong control environment and fewer compliance surprises

Board-ready insights that drive timely, informed decisions

Accurate margins and tighter stock control

Clean data that fuels accurate reporting and automation

Scalable, tech-enabled finance operations with fewer manual touches

Outsourced Finance Operations

Seamless back-office power, delivered on demand

A full back-office team that keeps transactions clean, controls tight, and reports board-ready—so you can focus on growth, not debits and credits.​

Result: an end-to-end finance engine that delivers timely transactions, audit-ready books, and actionable reporting—without the overhead of managing an in-house team.

 

Outsourced Treasury Operations

Real-time liquidity control, without the in-house overhead​

Centralize cash, contain risk, and optimize funding—without building an in-house treasury desk.​

Result: a tech-enabled treasury function that safeguards cash, minimizes risk, and unlocks funding capacity—without the fixed cost and complexity of building it yourself.

 

  • Daily cash-position monitoring​
  • Centralized pooling & fund allocation•​
  • Liquidity-gap and working-capital analysis​
  • Idle-cash investment tracking
  • Short- & long-term projections​
  • Forecast-vs-actual variance drills​
  • Best / base / worst-case scenarios​
  • Integration with FP&A and ops plans
  • Account opening / closure & KYC compliance​
  • Fee analysis & negotiation​
  • Multi-bank platform oversight​
  • RFP support for banking services
  • Centralized payment execution & approvals​
  • Vendor / payroll scheduling​
  • Payment-file generation & validation​
  • Segregation-of-duties & fraud-prevention protocols
  • Intercompany loan management & settlements​
  • Interest tracking & documentation​
  • Transfer-pricing compliance
  • Cash-centralisation strategies
  • FX exposure identification & tracking​
  • Hedging-strategy design & execution​
  • FX gain / loss analysis​
  • Derivative-instrument support
  • Loan drawdowns, repayments, and rollovers​
  • Interest & covenant monitoring• Facility documentation support​
  • Reporting to lenders & agencies
  • Liquidity KPIs & funding-cost dashboards​
  • Daily / weekly / monthly cash reports​
  • Variance & performance analytics​
  • Bank-reconciliation insights
  • Treasury policy & SOP creation​
  • Delegation-of-authority frameworks​
  • Internal-control design​
  • Audit & compliance liaison
  • Treasury-management system (TMS) rollout​
  • ERP treasury-module integration (e.g., SAPTRM, Oracle Cash Mgmt.)​
  • Automated cash & payment workflows​
  • Bank connectivity (SWIFT MT940, etc.)
  • Daily cash-position monitoring​
  • Centralized pooling & fund allocation•​
  • Liquidity-gap and working-capital analysis​
  • Idle-cash investment tracking
  • Vision & growth objective alignment
  • Scenario & sensitivity modelling
  • Capital-structure / funding strategy
  • Risk matrix & mitigation actions
  • Short- & long-term projections​
  • Forecast-vs-actual variance drills​
  • Best / base / worst-case scenarios​
  • Integration with FP&A and ops plans
  • Account opening / closure & KYC compliance​
  • Fee analysis & negotiation​
  • Multi-bank platform oversight​
  • RFP support for banking services
  • Centralized payment execution & approvals​
  • Vendor / payroll scheduling​
  • Payment-file generation & validation​
  • Segregation-of-duties & fraud-prevention protocols
  • Intercompany loan management & settlements​
  • Interest tracking & documentation​
  • Transfer-pricing compliance
  • Cash-centralisation strategies
  • FX exposure identification & tracking​
  • Hedging-strategy design & execution​
  • FX gain / loss analysis​
  • Derivative-instrument support
  • Loan drawdowns, repayments, and rollovers​
  • Interest & covenant monitoring• Facility documentation support​
  • Reporting to lenders & agencies
  • Liquidity KPIs & funding-cost dashboards​
  • Daily / weekly / monthly cash reports​
  • Variance & performance analytics​
  • Bank-reconciliation insights
  • Treasury policy & SOP creation​
  • Delegation-of-authority frameworks​
  • Internal-control design​
  • Audit & compliance liaison
  • Treasury-management system (TMS) rollout​
  • ERP treasury-module integration (e.g., SAPTRM, Oracle Cash Mgmt.)​
  • Automated cash & payment workflows​
  • Bank connectivity (SWIFT MT940, etc.)

Clear, real-time visibility of cash, optimized balances, and higher returns on surplus funds

Reliable runway insight and early warning of funding gaps or surplus capacity

Lower banking costs, streamlined account structures, and stronger partner terms

Faster, error-free payments with airtight controls and reduced fraud risk

Efficient internal funding, audit-ready documentation, and optimized group liquidity

Reduced earnings volatility and disciplined management of currency risk

No missed covenants, timely compliance, and maximized access to credit lines

One-click transparency for execs, boards, and lenders

Robust governance that satisfies auditors and regulators

Real-time data, reduced manual effort, and a scalable digital treasury stack

Testimonials

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★★★★★
Excellent service. Very satisfied!
Artem Sazonov
★★★★★
Great experience. Will come back again.
Amanda Kemani
★★★★★
Loved the product. Highly recommend.
Anna James
★★★★★
Their team was super helpful and responsive.
Daniel Vukovic
★★★★★
One of the best decisions I’ve made.
Grace Moore
★★★★★
Quick support, great value, will use again!
Liam Carter
★★★★★
Amazing UX and top-tier customer service!
Julia Tran
★★★★★
They truly care about their customers.
Mohammed Iqbal
FAQ illustration

Frequently Asked Questions

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How do you ensure the security of my personal and financial information?
Our company specializes in consulting, product development, and customer support. We tailor our services to fit the unique needs of businesses across various sectors, helping them grow and succeed in a competitive market.
How do you help with finance management?
We provide tailored finance management solutions including budgeting, forecasting, and financial reporting for businesses of all sizes.
How can I apply for a loan with your company?
You can apply online or speak with our advisors. We'll guide you through the documentation and approval process efficiently.
How do I contact customer support?
You can reach our support team via phone, email, or the live chat option on our website. We are available 24/7 to assist you.

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