Strategic Financial Leadership. Measurable Business Results.

Maske CFO Solutions partners with business owners and executive teams to strengthen cash flow, reporting, profitability, and financial strategy — without the cost of a full-time CFO.

Services

Fractional CFO services built around cash, reporting, profitability, and execution.

Explore the core areas where Maske CFO Solutions can help create better reporting, stronger cash visibility, and more disciplined financial leadership.

“The goal is not just better reports. The goal is better decisions, better cash visibility, and a stronger business.”

Fractional CFO

Executive financial leadership without the cost of a full-time CFO.

Cash Flow & Liquidity Planning

Improve cash visibility, strengthen liquidity, and plan with confidence.

Budgeting & Forecasting

Build reliable budgets and forecasts that support better decisions.

Banking & Covenant Compliance

Stay lender-ready with accurate reporting and covenant oversight.

Board & PE Reporting

Deliver clear, insightful reporting for boards and investors.

M&A & Due Diligence

Navigate acquisitions, transactions, and diligence with financial confidence.

Fractional CFO

Growing businesses often need executive-level financial leadership before they need a full-time Chief Financial Officer. As your Fractional CFO, we provide strategic guidance, financial discipline, and executive insight tailored to your business goals.

Working alongside owners and leadership teams, we improve reporting, strengthen cash flow management, support strategic planning, and provide objective guidance for critical decisions. Gain experienced CFO leadership without the cost of a full-time executive.

Key Services

  • Executive Financial Leadership
  • Financial Strategy & Decision Support
  • Cash Flow & Working Capital Oversight
  • Budgeting & Forecasting
  • KPI & Performance Reporting
  • Banking & Lender Relations
  • Board & Investor Support
  • Profitability & Margin Analysis
  • Strategic Planning
  • Financial Process Improvement

The Result

Executive-level financial leadership that strengthens decision-making, improves financial performance, and positions your business for sustainable growth.

Cash Flow & Liquidity Planning

Strong cash flow is the foundation of every successful business. We help organizations improve liquidity, anticipate future cash needs, and make informed decisions through proactive forecasting and working capital management.

Our approach includes 13-week cash flow forecasting, liquidity analysis, working capital optimization, and scenario planning. By identifying potential cash constraints early, we help leadership maintain flexibility, strengthen lender relationships, and confidently support growth.

Key Services

  • 13-Week Cash Flow Forecasting
  • Liquidity & Working Capital Analysis
  • Cash Conversion Cycle Improvement
  • Scenario & Sensitivity Planning
  • Covenant & Debt Compliance
  • Banking & Lender Reporting
  • Growth & Capital Planning

The Result

Proactive cash management that strengthens financial stability, improves working capital, and prepares your business for both opportunities and unexpected challenges.

Budgeting & Forecasting

Successful businesses rely on disciplined planning, not guesswork. We develop accurate budgets and dynamic forecasts that provide leadership with the visibility needed to make confident decisions.

Through collaborative budgeting, rolling forecasts, and scenario modeling, we help align financial goals with operational priorities, improve profitability, and prepare businesses to respond to changing conditions.

Key Services

  • Annual Budget Development
  • Rolling Forecasts
  • Strategic Financial Planning
  • Scenario & Sensitivity Analysis
  • Revenue & Margin Forecasting
  • Expense Planning & Cost Management
  • Capital Expenditure Planning
  • Board & Executive Reporting

The Result

A clear financial roadmap that empowers leadership to make informed decisions, improve profitability, and achieve long-term strategic objectives.

Banking & Covenant Compliance

Strong banking relationships depend on transparency, timely reporting, and proactive financial management. We help organizations maintain lender confidence through accurate reporting, covenant monitoring, and strategic financial oversight.

We prepare lender reporting packages, analyze covenant performance, support financing initiatives, and identify potential issues before they become challenges.

Key Services

  • Loan Covenant Monitoring & Compliance
  • Lender Reporting & Financial Packages
  • Banking Relationship Management
  • Debt Refinancing & Restructuring Support
  • Credit Facility Analysis
  • Liquidity & Borrowing Base Management
  • Financial Ratio & Covenant Forecasting
  • Capital Structure Planning
  • Acquisition & Growth Financing Support

The Result

Confidence that your business remains lender-ready, financially compliant, and well-positioned to secure the capital needed for future growth.

Board & PE Reporting

Boards, investors, and executive teams rely on accurate reporting to make strategic decisions. We develop clear, concise reporting packages that transform financial data into actionable insight.

Our reporting solutions provide visibility into KPIs, financial performance, cash flow, profitability, and operational trends. Each package is tailored to the needs of leadership teams, lenders, and investors.

Key Services

  • Monthly Board Reporting Packages
  • Private Equity Portfolio Reporting
  • Executive KPI Dashboards
  • Financial Performance Analysis
  • Budget vs. Actual Reporting
  • Cash Flow & Liquidity Reporting
  • EBITDA & Margin Analysis
  • Strategic Business Performance Metrics
  • Investor & Lender Presentation Support

The Result

Professional, decision-focused reporting that provides boards, investors, and leadership teams with the clarity and confidence to drive business performance.

M&A & Due Diligence

Growth through acquisition requires disciplined financial analysis, thorough due diligence, and strategic execution. We partner with owners, executives, and investors to evaluate opportunities, reduce risk, and maximize deal value.

From acquisition analysis through post-close integration, we provide financial insight into performance, cash flow, working capital, debt obligations, and valuation considerations.

Key Services

  • Financial Due Diligence
  • Quality of Earnings Support
  • Working Capital Analysis
  • Purchase Price Allocation Support
  • Financial Modeling & Valuation Analysis
  • Cash Flow & EBITDA Assessment
  • Debt & Capital Structure Review
  • Transaction Advisory Services
  • Post-Acquisition Financial Integration
  • Board & Investor Transaction Reporting

The Result

Greater confidence throughout the transaction process through disciplined financial analysis, reduced risk, and strategic guidance that helps maximize enterprise value.

Who We Serve

Strategic financial support for businesses navigating growth, complexity, and change.

Maske CFO Solutions partners with business owners, executive teams, and investors who need experienced financial leadership without the cost of a full-time CFO.

Privately Held Businesses

Owners who need stronger financial visibility, improved reporting, and strategic guidance to support growth and profitability.

Manufacturing & Distribution Companies

Companies managing operational complexity, working capital challenges, inventory decisions, and margin improvement opportunities.

Private Equity Portfolio Companies

Management teams and investors requiring disciplined reporting, KPI visibility, cash flow oversight, and value creation support.

Businesses Preparing for Growth, Financing, or Transition

Organizations preparing for growth, financing, acquisition, ownership transition, or a more sophisticated financial operating model.

Why Maske CFO Solutions

Executive financial leadership grounded in experience, insight, and execution.

We combine CFO-level financial strategy with hands-on operational experience to help leadership teams improve visibility, strengthen performance, and make confident decisions.

Experienced Leadership

Proven financial leadership built on more than three decades of experience. Over 30 years in accounting and finance, including 10 years as Chief Financial Officer, with a track record of leading more than 16 acquisitions and divestitures. Eight years partnering with private equity firms has provided deep expertise in value creation, cash flow optimization, operational improvement, lender relations, and strategic growth initiatives.

By the Numbers

  • 30+ Years of Accounting & Finance Leadership
  • 10+ Years as Chief Financial Officer
  • 16+ Successful M&A Transactions (Buy-Side & Sell-Side)
  • 8+ Years Partnering with Private Equity Firms
  • Millions Managed in Cash Flow, Banking & Liquidity
  • Board-Level Financial Reporting & Strategic Planning
  • Manufacturing, Distribution & Private Equity Industry Expertise
Let’s Talk

Ready to strengthen your financial strategy?

Contact Maske CFO Solutions to discuss fractional CFO support, reporting improvements, cash flow planning, or board-ready financial leadership.

Request a Consultation

Let's discuss how strategic financial management can scale your business.