Data-led analysis
We use scenario modelling and sensitivity analysis to quantify trade-offs between growth and stability and to prioritise capital allocation.
Calmfieldcross is a specialist corporate finance advisory firm founded to help leadership teams make disciplined financial choices that support long-term value creation. We advise on capital budgeting to ensure investments meet strategic objectives while delivering expected returns, design financing solutions that balance the cost and flexibility of debt and equity, and optimise working capital to release cash for growth initiatives. Our practice reflects practical experience across industries and deal types, combining robust quantitative frameworks with an emphasis on governance and execution. We work closely with executive teams and boards to translate technical finance decisions into clear operational steps and measurable outcomes, enabling organisations to pursue growth with confidence and resilience.
Calmfieldcross applies a disciplined, evidence-based approach to corporate finance. We begin with a diagnostic that identifies value drivers, funding constraints, and operational bottlenecks. For capital budgeting, we prioritise projects using scenario-based cashflow models that capture downside risks and strategic optionality. For financing design, we evaluate the cost of capital across instruments and structure financing to align covenants with operational realities. Working capital initiatives focus on process improvements and targeted short-term funding solutions that free cash without increasing overall risk. We help implement governance frameworks so decisions are repeatable, transparent, and linked to measurable KPIs. Throughout engagements we provide training and governance-ready reporting to ensure capability transfer to in-house teams and sustainable governance practices.
We use scenario modelling and sensitivity analysis to quantify trade-offs between growth and stability and to prioritise capital allocation.
We help operationalise recommendations with implementation plans, tracking, and capability transfer to make improvements stick.
We frame recommendations with downside scenarios and governance checkpoints to preserve optionality and safeguard liquidity.
We prioritise initiatives tied to KPIs such as free cash flow, return on invested capital, and liquidity coverage for transparent performance tracking.
Our team brings a mix of corporate finance, treasury, and operational experience across sectors including industrials, technology, healthcare, and consumer goods. Advisors have led financings, run treasury functions, and supported large capital programmes. This blend of board-level advisory experience and hands-on implementation enables Calmfieldcross to scope pragmatic solutions that align with both governance priorities and operational constraints. We frequently work with CFOs, finance directors, and boards to design reporting packages and governance processes that speed decision-making and increase transparency. Our engagements prioritise knowledge transfer so finance teams build the capability to maintain continuous capital discipline and respond adaptively to market changes.
Former CFO with experience in multiple IPO and refinancing processes, specialising in capital structure and investor communications.
Treasury leader focused on liquidity management, cash forecasting, and bank relationship optimisation for multinational operations.
Calmfieldcross Ltd, 12 Cornhill, London, EC3V 3ND, United Kingdom
Phone: +44 20 7946 0958
Email: [email protected]