
Valuation
Reveloop assists companies in the business valuation process by assessing the total economic value of a business and its assets.
During this process, all aspects of a business are evaluated to determine the current worth of an organization or department. For most of our clients, the valuation process occurs for various reasons, such as determining sale value and tax reporting.
Reveloop has a lot of experience in the six business valuation methods that
provide insight into a company’s financial standing, including book value,
discounted cash flow analysis, market capitalization, enterprise value,
earnings, and the present value of a growing perpetuity formula.

Cash Flow Analysis
Reveloop assists clients with tracking and analyzing the three cash flow types to determine the liquidity and solvency of their business: cash flow from operating activities, cash flow from investing activities and cash flow from financing activities.
In conducting a cash flow analysis, Reveloop helps businesses correlate line items in those three cash flow categories to see where money is coming in, and where it’s going out. From this, they can draw conclusions about the current state of the business.
Depending on the type of cash flow, bringing in money isn’t necessarily a good thing, and spending money isn’t necessarily a bad thing. Understanding cash sources and where your cash is going is essential for maintaining a financially sustainable business. A business may be profitable and still experience negative cashflow or lose money and experience positive cash flow.
Complementary measurements, such as free cash flow and unlevered free cash flow, offer unique insights into a company’s financial health.

Liquidity
Reveloop helps companies to perform liquidity analysis as a method of evaluating a company’s financial health by comparing its liquid assets to its
short-term liabilities. Reveloop prepares clients for engagements with banks
and other financial institutions to assess and evaluate them for investments or loans.
Reveloop has a robust Liquidity analysis which involves;
- examining the balance sheet and cash flow statements,
- identifying liquid assets (cash, cash equivalents, accounts receivable, and marketable securities),
- Identifying short-term liabilities, and comparing liquid assets to short-term liabilities using financial ratios.

Profitability
Reveloop often performs Profitability analysis for our clients as part of enterprise resource planning (ERP) and helps our clients to identify ways to optimize profitability as it relates to various projects, plans, or products.
Reveloop’s profitability analysis relies on both qualitative and quantitative analytics to help our clients get the full picture.
While profitability analysis does answer many quantitative questions, it is unique in that it can also help our clients to identify which sources of information are most factual and reliable.
Our holistic profitability analysis helps our clients have a deep look
into which customers, vendors, and geographical locations are most profitable in their business.
Schedule a Call
We’re here to address your pain points and create growth opportunities for your organization. We’re passionate about what we do, and it shows in every interaction. Learn what makes us tick and schedule a call today.
- 607 Shelby St.
Suite 700 - 1060
Detroit, MI 48226,
United States - +1 (888) 808-2407
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