Get plain-English clarity from your P&L so you can make confident decisions without finance jargon, meetings, or relying on someone else.
Most directors don't struggle because they're bad at business. They struggle because financial information is confusing, delayed, and designed for accountants - not operators.
This creates guesswork, quiet risk, and dependency. This isn't your fault.
This is not a tool you learn. It's a translation layer.
Statutory, management, or monthly data from your accountant.
Into plain-English grades, scores, and specific actions.
What's improving, slipping, or quietly at risk - no interpretation needed.
Understand what your statutory accounts have been telling you. Financial health scores, profitability breakdown, operational efficiency metrics.
Monthly business intelligence tracking. What is happening now with your working capital, cash flow, and key performance indicators.
Doing nothing keeps the same uncertainty. FAST removes this - immediately.
This is not conceptual. Here's what FAST shows you about your business:
Overall Grades
Current Ratio
0.9:1
Below Typical Ranges
Working Capital
-£63,000
Limited Short-Term Liquidity
Net Profit Margin
-18.3%
Loss-Making Period
Debtor Days
90 days
Slower Customer Payments
Liquidity indicators suggest pressure on short-term cash resources. Negative working capital and a current ratio below 1.0 indicate limited coverage of short-term obligations. Monitoring receivables and short-term cash movements may be important.
PRIORITY SIGNAL #1: LIQUIDITY
Liquidity indicators appear below typical ranges. Cash reserves may be limited relative to short-term obligations.
SIGNAL #2: OPERATIONAL
Operational indicators suggest mixed performance. Revenue generation and cost structure may warrant closer review.
SIGNAL # 3: STRATEGIC
Growth and profitability indicators suggest limited. Monitoring revenue trends and margin dynamics may provide additional insight.
This is real output from FAST. You input your accounts into the excel based input tab, then FAST translates them into plain English with specific scores, ratios, and priorities. No guesswork. No dependency. Just actions.
Current Ratio - with plain-English interpretation
Working Capital - actual pounds at risk
Net Profit Margin - what it actually means
Debtor Days - how long money is tied up
Cash Conversion Cycle - how money flows
Revenue per Employee - productivity context
Asset Turnover - efficiency assessment
Return on Assets - value creation or destruction
And dozens more - all translated into plain English. Every metric comes with interpretation. Review what FAST says and talk to your accountant. We help you so you're able to have these conversations with your professional advisors"
Built from 15+ years inside UK SMEs - designed for operators just like you, not accountants. FAST shows you what professionals see when they read accounts.
You want bespoke consulting or interpretation services
You want someone else to make decisions for you
You are pre-revenue or just starting out
You want finance education or theory courses
You have complex group structures (FAST is for straightforward P&Ls)
Designed for trading UK SMEs with straightforward P&Ls. Not complex group structures.
If this doesn’t give you clarity within 30 minutes, it’s simply not the right excel based tool for you.
If your accounts are clean and up to date, you’ll know quickly.
"You don't need to understand every metric. FAST already has - and shows you what matters."