Proof, not promises.
Real engagements with the details left in — the problems, the method, and the numbers afterward.
Engineering a Construction-Ready Chart of Accounts with a Purpose-Built CIP Structure
A construction-specific chart of accounts with a dedicated CIP block gave a development group real-time project cost visibility — land, hard costs, soft costs, fees, and carry.
Result: Project costs visible in real time, in the exact structure of the development budget.
Read the full case study →Bringing 20+ Real Estate Entities Under One Roof — QuickBooks Online to NetSuite
How a 20+ entity real estate group moved from separate QuickBooks files to one NetSuite instance — with automated consolidation, project-level P&L, and closes in days instead of weeks.
Result: Consolidation went from weeks of spreadsheets to the push of a button.
Read the full case study →A Living Company Budget — Rolling, GL-Connected, and Reconciled Every Month
A 36-month rolling operating budget — chart-of-accounts coded, driver-based, vendor-level granular, and reconciled to the NetSuite general ledger every month.
Result: Runway, hiring costs, and raise timing turned from guesses into a schedule.
Read the full case study →Untangling Intercompany Chaos — A Deep Multi-Entity Cleanup
Reconciling 20+ entities' intercompany balances to source, rebuilding the structure, and installing a hygiene framework that keeps group books permanently clean.
Result: Every intercompany balance now nets to zero at group level — and stays that way.
Read the full case study →Your books could be the next case study.
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