
- Financial strategy & forecasting
- Budget to actual reporting
- Productivity & Efficiency analysis
- Risk Management
- Investment Strategy
- Liquidity & Cash Flow Analysis
- Board Presentation & reporting
- Financial strategy & forecasting
- Budget to actual reporting
- Productivity & Efficiency analysis
- Risk Management
- Investment Strategy
- Liquidity & Cash Flow Analysis
- Board Presentation & reporting


Financial Strategy & Forecasting
A well informed organization is prepared for its future. Our financial strategy and forecasting of future income and expenses would be an advantage during the decision making process.

Budget to Actual Reporting
Our plans and actions may vary. Understanding this allows us to be more efficient in the planning. This service shows you the budgeted assets and the actual assests added during the financial year.

Productivity & Efficiency Analysis
MDACS analyses and shows how knowledge of production technologies, market structure and company behaviour can be used to inform construction of meaningful price and productivity indexes.

Liquidity & Cash Flow Analysis
Cash flow statements help you measure your company’s liquidity. We provide the reports in such a way, the company can understand their cash flow position and tighten their efforts to increase cash flow to avoid crisis in a later stage.

Risk Management
Your capital is the base of your business and assist in identifying, assessing and controlling threats to your organization’s capital and earnings.

Investment Strategy
A company’s investment depends on a lot of rules, procedures, and calculations. MDACS helps our investors identify the potential opportunities to get maximum returns out of it.

Board Presentation & Reporting
We provice the compliances presentation to the board and make it easier for the management to understand the process followed and the financial health of the organization.