
The Goal: To give you a clear real time understanding of your catalog performance, audience behavior, and operational health, and to identify the priority actions needed to strengthen your financial foundation
The Process: We consolidate your global public and performance data into a single diagnostic that analyzes streaming activity, audience growth, catalog momentum, and release traction. We also review your metadata, registrations, and financial systems to identify gaps and opportunities
The Outcome: You receive a unified diagnostic with a clear set of recommended actions that improve your operational, financial, and rights infrastructure. This assessment can be used on its own or as the first step in a full Noteworth engagement
The Goal: To correct the operational, financial, and rights related issues identified in your diagnostic, so your business is structurally sound and prepared for accurate long-term reporting
The Process: We execute the priority actions outlined in your diagnostic. This includes metadata cleanup, rights setup and registration, distributor and publisher corrections, catalog organization, and the operational fixes required to stabilize your financial infrastructure
The Outcome: Your catalog, registrations, and financial systems are corrected and optimized, ensuring your revenue pathways are accurate, complete, and ready for reconciliation or long-term financial management
The Goal: To identify and recover underreported or delayed revenue across your global royalty streams
The Process: We compare verified consumption analytics against your distributor and publisher statements to identify mismatches between usage and payouts. This review highlights underreported income, missing registrations, timing delays, and structural inefficiencies across your revenue channels
The Outcome: You receive a quantified reconciliation that shows what you are owed and why, along with a clear path to recovering your earned but unpaid revenue. This service can be engaged after implementation or as a standalone review
The Goal: To provide the financial infrastructure, discipline, and long term planning required to scale a global career with clarity and confidence
The Process: We operate as your dedicated CFO, overseeing budgets, tax coordination, cash flow forecasting, and financial planning. We use predictive audience analytics to guide strategic decisions across touring, catalog development, and long-term wealth building
The Outcome: You gain total financial clarity and a long term partner who ensures every operational dollar is accounted for, protected, and positioned for growth. This service is ideal for artists seeking ongoing support
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