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Financial Models Lab Trust Center

See the work behind the numbers.

Good planning tools should be understandable before they are trusted. This hub explains who we are, how we research and build financial planning resources, which evidence standards we use, how editorial and commercial relationships are handled, and where the limits of our content and products begin.

Current framework: these pages describe the standards and methods Financial Models Lab applies to new and materially updated content and products, together with our research approach, commercial disclosures, source practices, and important limitations.
1IdentityWho builds the products and why the company exists.
2MethodHow a business idea becomes model architecture, drivers, KPIs, and researched assumptions.
3EvidenceWhich source types are preferred and what their limits are.
4BoundariesWhat is educational, what is commercial, and what requires professional advice.

Company

About Financial Models Lab

Our purpose, product philosophy, co-founders, professional background, and the standards that guide new and materially updated resources.

Meet Financial Models Lab →

Products

Why Buy From Us

What an editable template is designed to save, what to check before purchase, and where its limits begin.

Evaluate the product fit →

Method

How We Research Businesses

How business evidence shapes model architecture, reports, KPIs, drivers, assumptions, ranges, review, and corrections.

Read the methodology →

Publishing

Editorial Standards

Standards for accuracy, authorship, original value, own-product disclosure, AI-assisted work, updates, corrections, and sponsored content.

See the publishing rules →

Evidence

Data Sources

A filterable source register, source hierarchy, intended uses, known limits, and downloadable CSV.

Inspect the source register →

Limitations

Disclaimer

Important limits on educational content, forecasts, templates, external links, compatibility, and professional advice.

Understand the limits →