Behind the Numbers

Real expertise in liquidity and solvency analysis, built through years of working with Australian businesses

We started Stationcodex because too many business owners were getting surface-level financial advice. When cash flow problems hit, generic reports don't help. You need someone who understands the intricate relationships between working capital, debt structure, and operational efficiency.

Financial analysis workspace showing detailed liquidity assessment charts

How We Actually Work

Most financial consultants hand you a standard template. We dig deeper because every business has unique cash flow patterns that standard ratios miss completely.

Phase One

Operational Cash Flow Mapping

We trace every dollar from customer payment to supplier settlement. This reveals hidden bottlenecks that traditional balance sheet analysis completely overlooks. Many businesses discover they're profitable but cash-poor for very specific, fixable reasons.

Phase Two

Stress Testing Scenarios

What happens if your biggest client pays 30 days late? Or if supply costs jump 15%? We model these real-world situations using your actual data, not industry averages. This preparation has saved several clients from serious cash crunches.

Phase Three

Strategic Recommendations

Every finding connects to actionable next steps. We prioritize changes based on implementation difficulty versus financial impact. Some adjustments can improve cash position within 30 days, while others require longer-term planning.

Detailed financial modeling session with multiple data sources and scenario planning

The People Behind Your Analysis

Our team combines deep financial expertise with practical business experience. We've helped companies navigate everything from rapid growth cash crunches to economic downturns.

Caspian Thorne, Senior Financial Analyst

Caspian Thorne

Senior Financial Analyst

Specializes in manufacturing and retail cash flow analysis. Caspian has identified over .3 million in working capital improvements for Queensland businesses since joining in 2022.

Marlowe Reeves, Liquidity Specialist

Marlowe Reeves

Liquidity Specialist

Focuses on service-based businesses and professional practices. Her debt restructuring recommendations have helped 47 businesses avoid insolvency proceedings since 2021.

ST

Support Team

Research & Analysis

Our research team maintains current data on industry benchmarks, regulatory changes, and emerging financial trends that could impact your business liquidity position.

Why Experience Matters in Financial Analysis

Financial ratios tell part of the story, but context makes the difference. A 1.2 current ratio might be excellent for one business and problematic for another, depending on industry payment cycles, seasonal patterns, and growth phase.

  • Industry-specific benchmarking that reflects actual operating conditions
  • Seasonal adjustment calculations for businesses with cyclical revenue
  • Growth-phase considerations that standard analysis often misses
  • Regulatory impact assessment for compliance-heavy industries
  • Integration with existing accounting systems and processes
Discuss Your Analysis Needs
Comprehensive financial analysis session with industry-specific benchmarking tools