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Feasibility Studies

Our feasibility studies service aims to test the viability of projects. Feasibility studies involve the assessment of marketing and technical studies, and also the financial feasibility of the project, by measuring the project's sensitivity against future economical variables.

Components of a Feasibility Study

Project Introduction

A general description of the project and its main components, preliminary capital, and the various tax exemptions which the project can benefit from within the requirements of various laws including tax and investment laws.

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Legal Study

Includes the proposed legal form for the new project with the aim to achieve the maximum financial savings and management efficiency needed for the project.

Marketing Study

Determines required services, expected demand, competitor price analysis, and the feasibility of expected revenues to be realized from project operations.

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Investment Cost Analysis

Studies and analyzes capital investment components, working capital needs, pre-operating expenses, and the financial structure of the project.

Financial Study

Identifies financial assumptions, studies fixed and variable costs, analyzes expected operating revenues, and prepares income statement and cash flow projections.

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Marketing Study Objectives

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Service Identification Determine the kind of services required that can achieve maximum economic benefits.
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Demand Assessment Determine expected demand based on data about the areas under study and project site surroundings.
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Competitor Price Analysis Analyze competitors' prices to determine the best service prices that achieve the best return.
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Revenue Feasibility Study and analyze expected activities and the feasibility of revenues from project operations.

Key Financial Metrics

We prepare a range of economic indicators to evaluate project viability and investment potential.

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Payback Period

Determines the time needed to recover the initial capital investment from project cash flows.

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Internal Rate of Return

Calculated based on present value of future cash flows using the determined discounted rate.

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Profitability Measure

Expected income statement analysis with profitability ratios for each division during the projection period.

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Cash Flow Analysis

Expected cash flow statement to identify ability to translate profit into positive cash flow.

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Risk Analysis

Analysis of political, financial, and administrative risk components and their effect on the discounted rate.

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Sensitivity Analysis

Sensitivity analysis on project revenues with expected increase/decrease during projection period.

Need a Feasibility Study?

Let our experts test the viability of your project with a comprehensive feasibility study.