» Services
» Buy-Side Financial Due
Diligence
» Sell-Side Accounting
» Post-Transaction
» Buy-Side Financial Due
Diligence
» Sell-Side Accounting
» Post-Transaction

Riveron provides an array of services covering the entire private equity investment life-cycle. Examples range from financial due diligence and post acquisition integration to technical accounting assistance and complex modeling and analysis. Our team is comprised of talented professionals with experience among the largest public accounting firms and corporate finance groups.
We understand a broad range of industries with expertise ranging from manufacturing and distribution to retail, financial services, technology, energy, and more. We employ proven processes and tools to both evaluate and improve businesses from a financial and accounting perspective.
Buy-Side Financial Due Diligence Services
Through our buy-side services, we are able to help both strategic and financial investors gain a more complete understanding of the financial situation of a target business, assess normalized EBITDA used for pricing purposes, and identify risks related to the corporate governance, financial reporting, and accounting environment. Leveraging our financial expertise enables clients to focus on evaluating the target’s business strategy, management team, and plans for growth. More »
Sell-Side Accounting Services
The value of a deal can be dramatically enhanced by the quality of a company’s financial reporting and accounting records. Riveron works with its sell-side clients to bring maturity and transparency to back-office processes and documentation in advance of courting a deal. By planning ahead and engaging our team, our clients have the opportunity to maximize the ultimate selling price of their investment asset and minimize the negative impact of unforeseen purchase price adjustments. More »
Post-Transaction Services
Financial Reporting and Transparency
Because a deal’s success is never measured with the execution of a contract, Riveron provides a range of post-transaction services designed to help maximize and realize its value. These services often extend from privately held portfolio companies to public market transactions and beyond. Our experience allows us to bring value and resolution to the most complex financial reporting issues of large, mid-cap public companies. More »
Through our buy-side services, we are able to help both strategic and financial investors gain a more complete understanding of the financial situation of a target business, assess normalized EBITDA used for pricing purposes, and identify risks related to the corporate governance, financial reporting, and accounting environment. Leveraging our financial expertise enables clients to focus on evaluating the target’s business strategy, management team, and plans for growth. More »
Sell-Side Accounting Services
The value of a deal can be dramatically enhanced by the quality of a company’s financial reporting and accounting records. Riveron works with its sell-side clients to bring maturity and transparency to back-office processes and documentation in advance of courting a deal. By planning ahead and engaging our team, our clients have the opportunity to maximize the ultimate selling price of their investment asset and minimize the negative impact of unforeseen purchase price adjustments. More »
Post-Transaction Services
Financial Reporting and Transparency
Because a deal’s success is never measured with the execution of a contract, Riveron provides a range of post-transaction services designed to help maximize and realize its value. These services often extend from privately held portfolio companies to public market transactions and beyond. Our experience allows us to bring value and resolution to the most complex financial reporting issues of large, mid-cap public companies. More »
