| name | fractional-cfo-playbook |
| description | Complete operational playbook for Fractional CFO engagements. Covers client onboarding financial assessment, monthly close cadence, board-ready reporting packages, cash flow management, strategic financial advisory, and engagement scope templates. Use when setting up or running a Fractional CFO service, onboarding a new client, preparing monthly CFO deliverables, or advising on financial strategy as an outsourced finance executive. NOT for: building financial models from scratch (use startup-financial-model), bookkeeping or transaction recording (use qbo-automation), tax filing preparation (PTIN-required service), or one-time financial analysis without an ongoing advisory context.
|
| version | 1.0.0 |
| author | PrecisionLedger |
| tags | ["fractional-cfo","advisory","finance","reporting","strategy","client-management"] |
Fractional CFO Playbook
The complete operating guide for running Fractional CFO engagements โ from first call to ongoing
monthly value delivery. This skill encodes PrecisionLedger's methodology for outsourced finance
executive services.
When to Use This Skill
Trigger phrases:
- "Set up fractional CFO engagement for [client]"
- "What should I deliver as fractional CFO this month?"
- "Prepare the monthly CFO package for [client]"
- "New fractional CFO client โ what do we need?"
- "Client wants board-ready financials"
- "CFO advisory scope for [stage/industry]"
- "Cash flow is tight โ what does the CFO do?"
NOT for:
- Building a full 3-statement model from scratch โ use
startup-financial-model
- Bookkeeping, reconciliation, or data entry โ use
qbo-automation
- Tax return preparation or filings โ PTIN-required, escalate to Irfan
- One-time financial analysis without CFO context โ use
financial-analysis-agent
- Cap table and equity management โ use
cap-table-manager
Engagement Tiers
Define scope before starting. Three standard tiers:
| Tier | Hours/Month | Deliverables | Price Range | Best For |
|---|
| Starter | 5โ8 hrs | Monthly close review, cash flow report, 1 strategy call | $1,500โ$2,500/mo | Pre-revenue to $500K ARR |
| Growth | 12โ20 hrs | Full reporting package, KPI dashboard, board prep, 2 calls | $3,500โ$6,000/mo | $500Kโ$5M ARR |
| Executive | 20โ40 hrs | All of Growth + fundraising support, audit prep, team mgmt | $6,000โ$15,000/mo | $5M+ ARR or fundraising |
Phase 1: Client Onboarding (Week 1โ2)
Financial Assessment Checklist
โก ACCOUNTING SYSTEMS
โก Access to QBO / Xero / NetSuite granted
โก Chart of accounts reviewed โ gaps or misclassifications noted
โก Bank feeds connected and reconciled YTD
โก Historical period reviewed (12โ24 months minimum)
โก FINANCIAL HEALTH SNAPSHOT
โก Trailing 12-month P&L reviewed
โก Balance sheet reviewed โ any red flags?
โก Cash flow statement reviewed (or reconstructed if missing)
โก AR aging report pulled โ any collection issues?
โก AP aging report pulled โ any payables over 60 days?
โก COMPLIANCE & STRUCTURE
โก Entity structure confirmed (LLC, C-corp, S-corp?)
โก Tax returns reviewed (last 2 years if available)
โก Active contracts list obtained (leases, debt, subscriptions)
โก Payroll provider confirmed (Gusto, ADP, etc.)
โก Bank accounts and signers list obtained
โก METRICS & BENCHMARKS
โก Gross margin calculated and benchmarked to industry
โก Burn rate established (if pre-profit)
โก Revenue concentration โ top 5 clients as % of revenue?
โก Key financial KPIs identified and baseline set
Onboarding Output: Financial Diagnostic Report
Produce a 1-page diagnostic for the client:
FINANCIAL DIAGNOSTIC SUMMARY
Client: [Name] | Date: [Date] | Prepared by: PrecisionLedger / Sam Ledger
FINANCIAL HEALTH SCORE: [Red/Yellow/Green per category]
Category Status Notes
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Cash Position ๐ก Yellow $180K โ 4 months runway at current burn
Revenue ๐ข Green $42K MRR, growing 8% MoM
Gross Margin ๐ด Red 38% โ below SaaS benchmark of 60โ70%
AR Aging ๐ก Yellow $28K over 60 days โ 3 accounts to address
AP/Payables ๐ข Green Current, no overdue
Bookkeeping ๐ก Yellow 2 months behind โ catching up underway
Compliance ๐ข Green Tax returns current, payroll compliant
TOP 3 PRIORITIES THIS QUARTER:
1. Improve gross margin: audit COGS, renegotiate vendor contracts
2. Accelerate AR collections: implement net-30 enforcement + follow-up workflow
3. Extend runway: reduce discretionary spend by ~$15K/month
UPCOMING DEADLINES:
โข March 15 โ Q4 estimated tax payment
โข April 15 โ Annual tax filing or extension
โข May 1 โ Lease renewal decision required
Phase 2: Monthly Close Cadence
Close Calendar (Standard Timeline)
Day 1โ3 (after month end):
โก Bank reconciliation completed for all accounts
โก Credit card transactions categorized
โก Payroll entries posted and reconciled
Day 4โ7:
โก Revenue recognized per schedule
โก Prepaid expense amortization entries posted
โก Accounts receivable invoices confirmed sent
โก Accruals posted (liabilities incurred but not invoiced)
Day 8โ10:
โก Unadjusted trial balance reviewed
โก Intercompany eliminations (if applicable)
โก Depreciation/amortization posted
Day 11โ15:
โก Final trial balance locked
โก Financial statements drafted
โก Flux analysis completed (month-over-month variance review)
โก CFO package assembled and reviewed
Day 15โ20:
โก CFO package delivered to client
โก Monthly strategy call scheduled
โก Prior month action items reviewed
Month-End Flux Analysis
Review every line item variance > 10% or > $5K:
FLUX ANALYSIS TEMPLATE
Account Prior Mo Current Mo $ Change % Change Explanation
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Revenue $95,000 $103,000 +$8,000 +8.4% New client Jan 15
COGS $32,000 $39,000 +$7,000 +21.9% โ ๏ธ Investigate
Payroll $48,000 $53,000 +$5,000 +10.4% New hire Feb 1
Software Tools $4,200 $6,800 +$2,600 +61.9% โ ๏ธ New subscriptions
Flag any unexplained variance > 15% for discussion on the monthly call.
Phase 3: Monthly CFO Package
Standard Deliverables
Every month, deliver a client-ready package containing:
1. Executive Summary (1 page)
[CLIENT NAME] โ MONTHLY CFO BRIEF
Month: [Month Year] | Prepared: [Date]
HEADLINE NUMBERS
Revenue: $103,000 (+8.4% vs prior month)
Gross Profit: $64,000 (62% margin โ on target)
Net Income: ($12,000) (investing in growth)
Cash Balance: $285,000 (6.2 months runway)
WINS THIS MONTH
โข Closed largest deal to date โ $12K MRR contract
โข COGS margin improved 3 points after AWS renegotiation
โข Collected $18K of aged AR
CONCERNS / WATCH ITEMS
โข Software spend up 62% โ conducting audit next week
โข Two invoices 45+ days overdue โ escalating collections
โข Runway tightening โ fundraise timeline decision needed by Q2
ACTION ITEMS FOR NEXT MONTH
โก Software audit โ identify and cancel unused tools [CFO]
โก Collections call on Acme Corp $8,200 invoice [Ops]
โก Series A readiness checklist review [Founder + CFO]
2. Financial Statements (3 pages)
- Income Statement: Month + YTD, vs. prior month, vs. budget
- Balance Sheet: Current month vs. prior month
- Cash Flow Statement: Simplified operating/investing/financing
3. KPI Dashboard
METRIC CURRENT PRIOR MO TARGET STATUS
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
MRR $103,000 $95,000 $100,000 ๐ข Ahead
MRR Growth (MoM) 8.4% 6.2% 7% ๐ข On Track
Gross Margin 62% 58% 65% ๐ก Improving
Customer Count 47 43 50 ๐ก Close
Cash Runway (months) 6.2 7.1 6+ ๐ก Watch
AR Days Outstanding 38 days 31 days 30 days ๐ก Watch
Burn Rate (net) $12,000 $8,000 <$15,000 ๐ข OK
Payroll as % Rev 51% 50% <55% ๐ข OK
4. Cash Flow Forecast (13-week)
13-WEEK CASH FLOW FORECAST
Week Start Cash Inflows Outflows End Cash Notes
โโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโโ
Wk 1 $285,000 $35,000 $42,000 $278,000 Payroll Fri
Wk 2 $278,000 $18,000 $8,000 $288,000 AR collect
Wk 3 $288,000 $22,000 $15,000 $295,000
...
Wk 13 $XXX,000 ... ... $XXX,000 Projected
Phase 4: Strategic Advisory Functions
Cash Flow Management
Weekly cash flow discipline:
1. Monitor bank balance every Monday
2. Review AP due this week โ approve payment run
3. Flag any AR 30+ days overdue for follow-up
4. Update 13-week forecast if assumptions change
5. Escalate if projected cash < 3 months runway
Cash flow levers (when runway is tight):
ACCELERATE INFLOWS:
โก Offer early payment discount (2/10 net 30) for key AR
โก Move to upfront/annual billing for new clients
โก Collect deposits on new projects
โก Line of credit draw if available
DEFER OUTFLOWS:
โก Negotiate extended terms with vendors (net 60โ90)
โก Defer non-critical hiring 30โ60 days
โก Pause discretionary spend categories
โก Renegotiate SaaS contracts to annual prepay for discount
BRIDGE OPTIONS:
โก Revenue-based financing (Clearco, Pipe, Arc)
โก SBIC / SBA loan for established businesses
โก Convertible note bridge from existing investors
โก Founder personal bridge (document properly)
Fundraising Support
When a client is raising capital:
FUNDRAISING READINESS CHECKLIST (CFO Role)
โก FINANCIAL DATA ROOM
โก 3 years historical financials (audited if available)
โก Current YTD financials (within 30 days)
โก 3-year financial model (base/bear/bull)
โก Unit economics summary (LTV, CAC, payback period)
โก Revenue cohort analysis
โก Cap table (current + pro forma post-raise)
โก METRICS PACKAGE
โก MRR/ARR waterfall (12 months)
โก Gross margin trend
โก Burn and runway calculation
โก Net Revenue Retention
โก Customer count and churn
โก DILIGENCE SUPPORT
โก Bank statements (12โ24 months)
โก Payroll records
โก Material contracts list
โก IP and asset register
โก Outstanding liabilities schedule
โก INVESTOR NARRATIVE
โก Financial story: how does the business make money?
โก Why the numbers look the way they do
โก What this raise funds and for how long
โก Key milestones unlocked by this capital
Board Meeting Preparation
Monthly or quarterly board package:
BOARD PACKAGE STRUCTURE
1. EXECUTIVE SUMMARY (1 page)
- Revenue, growth, margin, cash โ vs. prior period and budget
- Top 3 wins, top 3 challenges
2. FINANCIAL STATEMENTS (3 pages)
- P&L with budget variance column
- Balance sheet
- Cash flow summary
3. KPI SCORECARD (1 page)
- All agreed board-level KPIs in one table
- Red/Yellow/Green status
4. BUDGET VS. ACTUAL (1 page)
- Month and YTD variance
- Explanation for significant variances
5. UPDATED FORECAST (1 page)
- Revised full-year projection
- Key assumption changes since last board meeting
6. APPENDIX
- Department-level P&L breakdowns
- Headcount report
- Pipeline/bookings summary (if available from sales)
Engagement Management
Scope of Work Template
FRACTIONAL CFO ENGAGEMENT โ SCOPE OF WORK
Client: [Client Name]
Effective Date: [Date]
Tier: Growth ($4,500/month, 15 hours/month)
MONTHLY DELIVERABLES:
1. Monthly financial close oversight (Days 1โ15)
2. Financial statements (P&L, Balance Sheet, Cash Flow)
3. KPI dashboard update
4. 13-week cash flow forecast
5. Monthly CFO brief (executive summary)
6. Two 60-minute strategy calls per month
QUARTERLY DELIVERABLES:
7. Updated 12-month financial model
8. Board package preparation
9. Quarterly business review presentation
ANNUAL DELIVERABLES:
10. Annual budget and operating plan
11. Year-end close support and audit readiness
12. Annual financial strategy review
OUT OF SCOPE (separate engagement or referral):
โข Tax return preparation and filing
โข Bookkeeping and daily transaction recording
โข Payroll processing
โข Legal or HR services
โข Audit or attest services
COMMUNICATION:
โข Primary contact: [Name]
โข Response SLA: 24 hours (business days)
โข Emergency escalation: [method]
โข Monthly call: [recurring time]
FEES:
โข Monthly retainer: $4,500 (billed 1st of month)
โข Overage: $250/hour above 15 hours (pre-approved)
โข Out-of-pocket expenses billed at cost with receipts
Client Health Scorecard
Track engagement health monthly:
CLIENT: [Name] | MONTH: [Month]
Relationship Health
โก Monthly call completed? Y/N
โก Deliverables on time? Y/N
โก Client responsive to requests? Y/N
โก Open action items > 30 days old? Y/N
Financial Health Indicators
โก Bookkeeping current? Y/N
โก Cash > 3 months runway? Y/N
โก No undisclosed liabilities? Y/N
โก Compliance deadlines on track? Y/N
Engagement Risk
โก Scope creep this month? Y/N
โก Hours within budget? Y/N
โก Any relationship concerns? Y/N
OVERALL STATUS: ๐ข Healthy / ๐ก Watch / ๐ด Escalate
Industry-Specific Benchmarks
SaaS
Gross Margin: 65โ80% (below 60% = cost problem)
S&M as % Revenue: 20โ40% (early stage) / 15โ25% (mature)
R&D as % Revenue: 15โ25%
G&A as % Revenue: 8โ15%
Rule of 40: โฅ40 (Growth % + EBITDA Margin %)
NRR (Net Rev Retention): >100% excellent, 80โ100% ok, <80% problem
LTV:CAC: โฅ3:1 minimum, 5:1+ healthy
Professional Services / Consulting
Gross Margin: 50โ70% (revenue minus direct labor)
Utilization Rate: 65โ75% (billable hours / available hours)
Revenue per Employee: $150Kโ$350K (varies by specialty)
Client Concentration: No single client >25% of revenue
AR Days: <35 days ideal
E-commerce / Retail
Gross Margin: 30โ60% (depends on category)
Inventory Turnover: 6โ12x per year
CAC:LTV: โฅ3:1
Return Rate: <5% ideal
COGS % Revenue: 40โ70%
Integration Points
startup-financial-model โ Build 3-statement models for fundraising prep or annual planning
kpi-alert-system โ Automate threshold alerts for KPIs tracked in monthly CFO package
qbo-automation โ Pull actuals from QuickBooks for close and reporting
ar-collections-agent โ Manage AR follow-up workflow surfaced in CFO package
cap-table-manager โ Handle equity and dilution modeling during fundraising support
thirteen-week-cash-flow โ Generate detailed 13-week cash flow forecast
budget-vs-actual โ Produce variance analysis for board packages
investor-memo-generator โ Convert CFO financial narrative into investor documents
Quick Reference: CFO Monthly Checklist
WEEK 1 (Days 1โ7)
โก Bank reconciliations complete
โก Payroll reconciled
โก Revenue recognition entries posted
โก AR invoices verified sent
WEEK 2 (Days 8โ14)
โก Accruals and adjusting entries
โก Trial balance reviewed
โก Flux analysis completed
โก Statements drafted
WEEK 3 (Days 15โ20)
โก CFO package finalized
โก Package delivered to client
โก Monthly strategy call held
โก Action items documented
WEEK 4 (Days 21โ31)
โก Next month prep (budget check, upcoming deadlines)
โก 13-week cash forecast updated
โก Compliance calendar reviewed
โก Client health scorecard updated