Clarity in your numbers. Confidence in your decisions.
We help growing businesses clean up messy numbers, see their real cash position, and prepare reports and forecasts that boards and investors trust. Start with our 90-Day Program, then keep clarity with a Fractional CFO or bring us in for high-stakes projects. CFOPartners gives you the clarity and confidence to grow, raise, or protect value.
When the numbers don’t add up, confidence disappears.
❌ Reports that don’t reflect reality, leaving management exposed
❌ Board packs cobbled together at the last minute, undermining trust in leadership
❌ No visibility on cash runway or future capital needs
❌ Forecasts that don’t tie to actuals, creating risk in funding rounds
❌ Financials that collapse under investor or buyer questions
Most businesses don’t fail because sales stop. They fail because the numbers can’t be trusted. We see it every week in fast-moving Australian companies:
Without clear reporting and defensible forecasts, you end up making reactive decisions. Spending cautiously when you should invest, or burning cash because you can’t see risks ahead. That uncertainty erodes confidence in leadership and weakens valuation.
👉 At CFOPartners, we step in where bookkeeping ends. We provide the financial clarity that business leaders, boards, and investors demand.
More than bookkeeping and accounting. Real CFO expertise, without the salary.
Fractional CFO Support
CFO-level support that brings structure to reporting, forecasting, governance, and strategy. We work alongside leadership to strengthen financial discipline without the cost of a full-time hire.
Cash flow forecasting & treasury
Rolling forecasts and treasury oversight built to improve visibility of inflows, outflows, and capital needs. A structured process designed to highlight risks early and support informed decisions.
Financial Systems & Reporting Clean-Up
Structured clean-up of ledgers, reports, and dashboards. We focus on reconciliations, consistency, and workflows that improve confidence in decision-making.
Investor-Ready Reporting
Board packs and management reports developed with CFO-level rigour, clear, consistent, and aligned with best practice. Giving leadership confidence in front of boards and investors.
M&A and Capital Raise Support
Financial models, scenarios, and diligence support designed to prepare you for investor or buyer questions. Our approach helps reduce transaction risk and equips leadership for critical negotiations.
A clear pathway to lasting clarity.
Businesses don’t just need one-off fixes. They need financial clarity that lasts and scales with growth. Our pathway is designed to meet you where you are and take you to where you need to be:
Reset → Gain Clarity
(90 Day Program)
Most businesses begin here. In 90 days we reset the finance function so strategy isn’t built on guesswork. That means cleaning up numbers, rebuilding reconciliations, and establishing rolling cash flow forecasts. Together these create a financial baseline that management can reference in making choices, boards can use to track progress, and investors can review against consistent reporting.
Run → Build Clarity
(Fractional CFO)
With the foundation in place, the next step is leadership. As your fractional CFO we go beyond producing reports, we shape the financial narrative that drives decisions. That includes building board packs that highlight what matters, modelling scenarios to test growth options, and planning capital use against your objectives. The role isn’t bookkeeping, it’s ongoing financial leadership: keeping management accountable, giving boards strategic context, and supporting investor discussions without the cost of a full-time CFO.
Prepare → Protect Value
(Projects)
When growth turns into high-stakes moments, raising capital, selling, or acquiring, your numbers face real scrutiny. We deliver focused projects in M&A, scenario modelling, treasury, and valuation planning that strengthen the way your business is presented. This isn’t compliance work; it’s strategic preparation so management, boards, and investors can test decisions against robust financial analysis.
The CFO Edge
More than numbers. Strategic finance that moves the needle.
Most advisors give you reports. We give you clarity. At CFO Partners, we translate financials into strategy. Helping you manage risk, plan growth, and walk into investor or board meetings prepared.
✅ Strategic insight — not just accounting, but guidance shaped by real CFO experience
✅ Cash clarity — rolling forecasts that connect to your reality, not theory
✅ Investor-ready — reporting that speaks the language of boards, banks, and buyers
✅ Project depth — M&A, capital planning, and treasury when the stakes are high
✅ Practical execution — we don’t just advise, we help implement
CFO Partners brings the edge that shifts you from reacting to leading.
Proven Across High-Growth Sectors
From SaaS to defence, we’ve worked in the boardrooms, funding rounds, and transactions that shape businesses. The common thread: clarity that drives better decisions.
Real Outcomes in Action
How clarity has reshaped growth, exits, and funding across sectors.
Your Numbers Deserve More Than Reports - They Deserve a CFO Edge
From cash flow to capital raises, CFOPartners helps Australian businesses build clarity, protect value, and win the room.
No obligation. Just practical insight into how a CFO partner can support your next move.