
Financial due diligence, completion accounts and transaction assurance — independent, evidence-based work for buyers, sellers and their advisors.
Deals turn on numbers someone has to stand behind. We bring audit discipline to transactions: findings evidenced, adjustments quantified, surprises surfaced early.
Transaction work runs to a deal timetable: scope agreed against the questions that move price, findings evidenced and quantified as fieldwork progresses, and reporting delivered when the deal needs it — not after. The same discipline applies whether we act buy-side, sell-side or for a lender.
Buy-side and vendor due diligence focused on quality of earnings, working capital and the risks that move price.
Completion accounts prepared or reviewed against the SPA mechanism — so post-deal adjustments are settled, not litigated.
Independent reports and agreed-upon procedures that give lenders, boards and counterparties confidence to close.
Create an account, request corporate transactions, and receive your quote — then track every deliverable, deadline and document in the same secure workspace.
Every engagement is set out in writing — services, scope and a fixed fee agreed before work begins.
Buyers, sellers and investors in Malta transactions — and the lawyers and corporate financiers who advise them.
A short call is all it takes to scope the work and give you a clear, fixed quote.