Real Financial Expertise You Can Trust

We've been quietly helping Taiwan businesses understand their working capital since 2018. No flashy promises—just practical analysis that actually makes sense for your situation.

How We Actually Started

Back in 2017, I was consulting for a manufacturing company in Taichung. Their books looked decent on paper, but they were constantly scrambling for cash to pay suppliers. The owner kept asking me why his "profitable" business felt broke every month.

That's when it hit me—most business owners I met were getting financial advice that sounded impressive but didn't solve their actual cash flow problems. They needed someone who could explain working capital without the jargon, and show them exactly where their money was getting stuck.

So we started Throblighta with a simple idea: financial analysis should help you sleep better at night, not give you more headaches. Every report we create focuses on the real questions—when will you have cash, what's eating into your margins, and which decisions will actually improve your situation.

Professional financial analysis workspace showing documents and charts

What Drives Our Work

After working with hundreds of Taiwan businesses, we've learned that good financial advice isn't about complicated formulas—it's about understanding what keeps business owners awake at night.

Honest Numbers

We show you what your financial data actually means, including the parts that might be uncomfortable. Better to know where you stand than get surprised later. Our analysis includes realistic timelines and acknowledges when external factors are beyond your control.

Plain Language

Financial reports shouldn't require a finance degree to understand. We explain everything in terms that make sense for your business, with examples from companies similar to yours. No buzzwords or academic theories that don't apply to real situations.

Taiwan Market Focus

We understand the specific challenges Taiwan businesses face—from supplier payment terms to seasonal cash flow patterns. Our recommendations consider local banking relationships, regulatory requirements, and market conditions that generic advice often misses.

Practical Solutions

Every analysis includes specific, actionable steps you can implement without hiring additional staff or making major system changes. We focus on improvements that fit your current operations and resources, with realistic expectations about results.

Business team reviewing financial analysis documents Financial charts and working capital analysis on desk
Astrid Kellgren, Senior Financial Analyst

Astrid Kellgren

Senior Financial Analyst

Dimitri Varga, Lead Capital Strategist

Dimitri Varga

Lead Capital Strategist

The People Behind the Analysis

Astrid spent eight years at a Taipei investment firm before realizing she preferred helping established businesses optimize their operations over chasing high-growth startups. She has a particular talent for spotting inventory management issues that other analysts miss, probably because she actually visits client facilities instead of just reviewing spreadsheets.

Dimitri came to Taiwan in 2015 after working with manufacturing companies across Eastern Europe. He brings experience with businesses that operate on tight margins and complex supply chains. His background helps him understand when cash flow problems are temporary adjustments versus warning signs of deeper issues.

Together, they've developed our approach of combining quantitative analysis with practical business insight. They spend time understanding how your business actually operates before making recommendations, which is why their advice tends to work in real-world conditions.

What Makes Our Analysis Different

We don't just identify problems—we help you understand why they're happening and what you can realistically do about them. Our reports include implementation timelines, resource requirements, and honest assessments of which changes will have the biggest impact on your cash position. Most importantly, we stay available to answer questions as you work through our recommendations.

How We Approach Your Situation

Every business has unique cash flow patterns, but the analysis process follows a consistent methodology that ensures we don't miss important details or make assumptions based on incomplete information.

01

Current State Assessment

We review your financial statements, cash flow patterns, and operational data to understand where your working capital is currently allocated. This includes identifying seasonal trends, payment cycles, and any recurring cash flow challenges you're experiencing.

02

Operational Context

We learn about your business operations, supplier relationships, customer payment terms, and inventory management. Financial numbers only make sense when we understand the business activities that generate them.

03

Analysis and Insights

We identify specific areas where working capital efficiency can be improved, calculate the potential impact of various changes, and prioritize recommendations based on implementation difficulty and expected results.

04

Implementation Support

We provide detailed guidance on executing recommended changes, including timeline suggestions, potential obstacles to expect, and metrics to track progress. We remain available for questions during the implementation period.

Professional meeting discussing financial analysis and business strategy