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Claude Dore

CFO

Claude Doré is a CPA with over 30 years of experience serving as a result-oriented CFO, executive, and entrepreneur.

Claude partners closely with leadership teams and Boards within rapid growth environments to provide ethical management and strategic problem-solving.

He is known for his extensive expertise in M&A, capital raises, and exit strategies, having facilitated over $1B in total funding throughout his career.

By translating complex financial data into actionable insights, Claude helps businesses improve cash flow visibility and navigate diverse international markets with confidence.

Claude Dore 2

Track record highlights

  • Led IPO and SPAC financing totaling $550M USD, including two Canadian and two Nasdaq exchange listings.
  • Secured $450M USD in private financing, managing the development of business plans, financial models, CIMs, and VDRs.
  • Executed 15 M&A transactions totaling $350M USD across seven countries, including Canada, the UK, France, the USA, Italy, Chile, and Israel.
  • Negotiated pharmaceutical licensing deals valued at $1B USD.
  • Built high-performing finance teams by identifying, mentoring, and promoting talented staff and hiring strong managers.

Sector Experience

  • Technology & Media: SaaS, cloud infrastructure, and technology service organizations.
  • Healthcare & Life Sciences: BioPharma, Medtech, and pharmaceutical licensing.
  • Manufacturing: Pharma, Medtech, lidar technology, and mineral/chemical products.
  • Engineering & Resources: Engineering services, recycling, energy, and revalorization of PCBs.
  • Real Estate: Rental properties and condominium developments.

Claude's specialist skills

Exit Strategies

Provide comprehensive analysis, strategic development, and meticulous planning to ensure successful business exits.

Fundraising & Capital Markets

Facilitate significant capital raises across private and public sectors, totaling more than $1B in funding.

M&A & Transaction Support

Manage complex multi-national acquisitions, including due diligence, VDR management, and post-merger integration.

Risk & Opportunity Management

Perform continuous analysis of organizational risks and opportunities to ensure financial stability and strategic alignment.

Cash Flow & Financial Modeling

Build and improve sophisticated financial models and forecasting frameworks to support forward-looking business strategies.

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