We specialise in helping our clients manage their cash flow with our forecasting service.
We do this by preparing and updating detailed cash flow forecasts, using the latest and most powerful software. We can also help you negotiate or renegotiate overdraft facilities and find specific funding to help you grow.
It has never been more important to have a forecast in place. Forecasts allow us to prepare period management information to ensure your business is on track.
We can work with you to make a personal or business forecast showing the expected ups and downs over the coming 12 months. We can then track your results alongside the forecasted figures.
The forecasts can be flexed and adjusted to show how results can be improved via small changes to your business. They can also be used to set targets.