Investment-Ready Business Plan Preparation
Budget: €250 – €750 EUR
I need a seasoned business-plan specialist to turn the hard facts of my established company into a crisp, persuasive document that I can present to prospective investors. The draft must read professionally yet energetically, showing clear growth potential and a credible path to returns.
Core focus
Our goal is to secure outside capital, so every section has to speak the language of investors—data-driven, opportunity-oriented, and risk-aware.
Key components I expect to see
• Market analysis that quantifies demand, competition, and positioning using current industry data
• Detailed financial projections (P&L, cash flow, break-even, funding usage) built in Excel so assumptions are transparent and easy to adjust
• A marketing strategy that links spend to measurable customer acquisition and revenue targets
What I’ll supply
Historical financials, internal reports, and access to leadership for interviews. You are free to recommend any additional data sources or benchmarks you need.
Preferred style & format
The final plan should be investor-ready: professionally formatted in Word or Google Docs, with supporting spreadsheets, charts, and a concise slide deck summary (PowerPoint or Google Slides). Visual clarity matters almost as much as the numbers.
Acceptance criteria
1. All figures must reconcile across the narrative, tables, and spreadsheets.
2. Forecast assumptions clearly footnoted.
3. Executive summary strong enough to stand alone for a first-look email.
4. Delivered on agreed timeline, ready for light copyedit only.
If you have finance, consulting, or venture capital experience and can share previous work samples, let’s talk timeline and milestones.
Core focus
Our goal is to secure outside capital, so every section has to speak the language of investors—data-driven, opportunity-oriented, and risk-aware.
Key components I expect to see
• Market analysis that quantifies demand, competition, and positioning using current industry data
• Detailed financial projections (P&L, cash flow, break-even, funding usage) built in Excel so assumptions are transparent and easy to adjust
• A marketing strategy that links spend to measurable customer acquisition and revenue targets
What I’ll supply
Historical financials, internal reports, and access to leadership for interviews. You are free to recommend any additional data sources or benchmarks you need.
Preferred style & format
The final plan should be investor-ready: professionally formatted in Word or Google Docs, with supporting spreadsheets, charts, and a concise slide deck summary (PowerPoint or Google Slides). Visual clarity matters almost as much as the numbers.
Acceptance criteria
1. All figures must reconcile across the narrative, tables, and spreadsheets.
2. Forecast assumptions clearly footnoted.
3. Executive summary strong enough to stand alone for a first-look email.
4. Delivered on agreed timeline, ready for light copyedit only.
If you have finance, consulting, or venture capital experience and can share previous work samples, let’s talk timeline and milestones.