Scale with confidence.
The ultimate back and middle-office software enabled service for the renewable energy industry.
Unique workflows drive our back and middle-office solution for renewable energy.
Benefit from real-time reconciled revenues to budget, dynamic NAV calculations, optimised capital efficiency, drill-back to invoice and consolidation at any level.
Powered by experts and technology, we’re your new data driven back and middle-office.
Do you want to stay ahead of your competition and grow AUM?
We give you more alpha and less beta across your portfolio.
Is your financial data available to you when you need it?
Reconciled revenue and accurate net cash figures consolidated at a click.
Are you time poor and is your 'to-do' list evergrowing?
Same time and make life easy with our tailored solution.
Built on decades of experience
We don’t sit on the sidelines. Our team has a combined 50+ years experience in developing, financing and managing renewable energy assets.Learn More About our Team
We can help you with
Want to find out how we can help you scale faster?Contact Us
NAV calculations are time consuming and the fundamental data they are based on is often out-of-date or inaccurate. This is a compliance and risk issue for the board and a major concern for investors.
With our Cash Calendar we keep an asset-life budget up to date and put you in control of your NAV.
Cash forecasting and efficient funds flow, when done correctly, means you're doing more with less capital.
With our Cash Calendar we keep an asset-life budget up to date. POS, invoices, actual cash available for distribution, contracted payments are all taken into account when forecasting cash for the period.
Cash sweeps, funds flow and distributions analysis has never been easier.
Benchmark your costs across a portfolio, tender for services and drive down costs. Spot outliers, identify the best suppliers and conduct portfolio reviews quickly and efficiently.
Labour intensive jobs like budgeting, managing audits, revenue reconciliations, pay runs etc. etc. etc. drive up the cost of the middle-office.
We automate all of the time consuming financial workflows.
Having all your data standardised at GL level & comparable, is the bedrock of a scaling asset manager. Through integration and outsourcing to us, we bring all your data to a consistent standard GL mapping. From there, we reproduce a uniform set of statements and compare everything to budget.
One single source of the truth. We can integrate with your partners to remove friction and cost.
Whether you're developing a green field site or investing capex in an existing asset, we can streamline the workflows and keep the spend in check.
We tag all invoices to a PO, contract or milestone, noting any contingency spend, withholding taxes, retention amounts using our unique AP workflow. We avoid fines enable drill back to invoice/contract and automate the utilisation requests and pay-runs, with 100% transparency.