Business plans and financial projections are more than just formal documents they’re blueprints for sustainable growth. we help transform your business ideas and strategic goals into detailed, data-driven financial roadmaps that support internal planning, funding, investor presentations, and operational execution.
We begin by understanding your business model, revenue streams, cost structures, market potential, and growth levers. Using this information, we build custom business plans aligned with industry benchmarks and investor expectations. These plans include clear executive summaries, product/service overviews, market analysis, competitive positioning, and go-to-market strategies.
Financial projections are crafted based on realistic assumptions. We prepare three to five-year forecasts that include revenue models, expense estimates, profit & loss statements, balance sheets, and cash flow projections. This ensures a holistic view of the business’s financial health and future funding needs.
Our team also factors in variables like pricing strategies, capital expenditure, seasonality, margins, customer acquisition costs, and retention rates. The projections are designed to be both ambitious and achievable, giving stakeholders confidence in your execution ability.
Whether you are seeking funding, evaluating M&A opportunities, or expanding into new markets, we tailor each plan to your objective. We also provide sensitivity and scenario analysis to evaluate performance under different economic or operational conditions.
Additionally, our business plan support includes deck preparation, investor pitch validation, and mentoring sessions so that you not only have the numbers but also the narrative that resonates with investors or partners.
Strategic documents covering all critical business elements.
Includes P&L, Balance Sheet, and Cash Flow projections.
Professional-grade presentations for capital raising.
Ensures credibility of assumptions and KPIs.
Converts raw ideas into actionable steps.
We don’t believe in one-size-fits-all auditing. At Pawan Lohia & Associates, every Risk-Based Internal Audit begins with an in-depth understanding of your business model, industry dynamics, and regulatory exposure. Our team collaborates closely with your internal stakeholders to prioritize risk areas, define scope, and execute detailed audits with a strategic lens.
A business plan helps define strategic direction, allocate resources, and set goals. For startups and SMEs, it’s also essential for attracting investors, securing bank loans, or guiding internal decision-making with financial clarity.
We cover executive summary, business model, market opportunity, competition analysis, SWOT, marketing strategy, financial forecasts, use of funds, and risk mitigation strategies presented in a clean, professional format.
Financial projections are based on historical performance (if available), industry benchmarks, and custom business assumptions. We use structured models to forecast income, costs, EBITDA, working capital, capex, and funding needs over a multi-year period.
Absolutely. Many of our clients are pre-revenue startups. We help them build projections from scratch based on target markets, pricing strategies, and founder vision, supported by industry data.
Sensitivity analysis shows how your financials change when key variables (like sales, pricing, or costs) fluctuate. This helps assess business resilience and identify critical assumptions needing close monitoring.