Empowering Strategic Growth Through Smart Capital and Financial Discipline

Fundraising Strategy

Secure the right capital, on the right terms, at the right time. By carefully selecting the appropriate mix of equity and debt, you can ensure that your financial strategy aligns with your long-term goals and objectives.

Cash Planning & Liquidity Management

Stay in control of your cash position and extend your runway. Effective cash planning and liquidity management are crucial for maintaining financial stability and enabling your business to seize opportunities as they arise.

Working Capital Optimization

Unlock trapped cash and improve operational efficiency. Optimizing working capital can significantly enhance your company’s operational performance, freeing up resources that can be reinvested in growth initiatives.

Financial Risk Management

Protect your margins and ensure financial resilience. Implementing robust financial risk management practices can safeguard your business against unforeseen challenges and help maintain profitability in the face of market volatility.

Why choose VS Business Strategy?

We offer flexible, stage-appropriate support tailored to your needs, providing strategic insight combined with operational execution.

With a proven track record of success with startups, scale-ups, and SMEs, we are confident in our ability to drive your business forward. Additionally, we provide access to a vast network of investors, lenders, and treasury tools, ensuring you have the resources necessary to achieve your goals.

Our services are integrated with our global solution business line, ensuring seamless business continuity and support for your organization.

They trust VS Business Strategy

Do you want to work with us?

Discover our open positions here and join the VS Consulting family!

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