Transform Data
Into Decisions

Stop guessing. Start growing. Our fractional CFO and advisory services turn complex numbers into clear, actionable strategies for your business.

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Strategic Expertise

High-level financial oversight for every stage of your growth.

Financial Analysis

We decode your data to spot trends, optimize cash flow, and forecast future performance with precision.

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Year-End Support

Breeze through tax season with audit-ready books, reconciled accounts, and a clean financial close.

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Internal Controller / CFO Services

Executive-level financial leadership on a flexible, fractional basis — no full-time salary required.

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Financial Planning

Integrated corporate and personal financial planning — RRSP, TFSA, succession, and capital strategy.

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Business Loans & Line of Credit

We package your financials to secure BDC loans, bank lines of credit, and government financing.

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Cash Flow Analysis

13-week rolling cash flow models and CRA remittance planning to keep your working capital healthy.

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+124% Growth

Financial Analysis

Data without context is just noise. We provide the "Why" behind your numbers. Through variance analysis, KPI tracking, and scenario planning, we help you understand exactly where your profit is coming from and how to maximize it.

Trend Forecasting
Profit Optimization
Custom KPIs

Year-End Support

The end of the fiscal year shouldn't be a crisis. We manage the entire closing process, ensuring all accounts are reconciled, documentation is in order, and your financial statements are compliant and ready for filing.

Full Reconciliation
Financial Statements
CRA Compliance
Year Done

Internal Controller / CFO Services

Many Canadian businesses need senior financial leadership but cannot justify a full-time CFO salary. Our fractional Internal Controller and CFO services deliver executive-level oversight on a flexible, part-time basis — fully aligned with Canadian ASPE and IFRS for Private Enterprises standards. From managing your month-end close to presenting board-ready financial packages, we act as your senior finance function without the overhead.

Fractional CFO Leadership
Internal Controls & ASPE Compliance
Budget & Forecast Management
Management Reporting Packages
Strategic KPI Dashboards
Lender & Investor Readiness
Monthly Reporting
Management Package
✓ Board Ready
Internal Controls
ASPE Compliant
→ Audit Ready
Annual Budget
Forecast vs. Actual
▲ On Track
RRSP Contribution $31,560 max
TFSA Room 2025 $7,000 / yr
Corporate Retained Tax-Deferred
Succession Plan In Progress

Financial Planning

Effective financial planning bridges your personal wealth and corporate performance into one coherent strategy. We help Canadian business owners and professionals optimize RRSP and TFSA contributions, build corporate retained earnings plans, structure owner compensation for tax efficiency, and create formal succession strategies — all aligned with the Canada Revenue Agency guidelines and Ontario tax regulations.

RRSP / TFSA / RESP Optimization
Owner Compensation Structuring
Corporate Retained Earnings Strategy
Succession & Exit Planning
Capital Allocation Advisory
Long-Range Financial Modelling

Business Loans & Line of Credit Services

Access to capital is critical for every stage of your business — whether you're launching, expanding, or managing a temporary cash gap. Lenders want clean, audit-ready financials and a compelling business narrative. We prepare everything your bank, BDC (Business Development Bank of Canada), or EDC (Export Development Canada) needs to say yes: reviewed financial statements, multi-year projections, debt service coverage ratios, and a tailored business case that speaks the language of lenders.

Loan Application Preparation
BDC & EDC Financing Support
Reviewed Financial Statements
Debt Service Coverage Analysis
Credit Facility Review
Government Grants & Incentives
Loan Readiness Score 92 / 100
BDC Application Approved
Line of Credit In Review
13-Week Cash Flow Projection
HST Remittance
Scheduled
Payroll CRA
On Time

Cash Flow Analysis

Cash flow is the lifeblood of every Canadian business. Late HST/GST remittances, missed CRA payroll installments, and unplanned capital expenditures can create serious shortfalls — even in profitable businesses. Our 13-week rolling cash flow models and long-range projections give you a precise picture of every dollar in and out, so you can meet your CRA obligations on time, manage supplier payments strategically, and maintain the working capital buffer your business needs to grow without stress.

13-Week Cash Flow Modelling
HST / GST Cash Timing
CRA Remittance Planning
AR / AP Cycle Optimization
Working Capital Monitoring
Seasonal Cash Flow Strategies

Ready for Strategic Growth?

Join Canadian businesses who trust AMK Accounting Services for high-level financial guidance. Let's build your future together.

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