Let us help troubleshoot your finance problems

Do you enjoy running your business? What is giving you sleepless nights right now? Is dealing with the finances one big pain? Our starting point is to really listen to you, to find out what you want your business to do for you and what is important to you personally.  We can get to the bottom of those troublesome areas and get your business working smarter for you.

Systems, systems, systems!

We get down and dirty with your finances to see exactly what systems you have in place, how effectively they are working for you and how we can improve things.  We can either revise your current systems or put some new ones in place, to ensure you are in the perfect position to effectively monitor your business. We support you in making those all-important changes so that your finances are in tip-top condition. Helping you interpret the numbers, you will have your finger on the financial pulse of your business.  We guide you through the whole process, step by step, so you are comfortable with the changes being made.

Once everything is in place, we’ll be right at your side to guide you through a reporting cycle, ensuring that your systems are robust, you are comfortable with all aspects of reporting and you have access to everything you need to monitor performance.

The benefits to you:

– sleep easy at night, safe in the knowledge that you know exactly what is happening in your business;

– stay in control with access to the tools to effectively manage the finances;

– no more nasty surprises – what you can measure, you can manage

– you can make changes more efficiently as you’ll be on top of any problems that may arise

Budgets, target-setting and managing the cashflow

We’ll help you work through your target and budget-setting process, covering the essentials of capacity, trends, team, cost control, project profitability and growth requirements.

Once your budgets are set, we will produce a detailed profit forecast for the year ahead and a summary three-year forecast.  We will make sure you have the knowledge to be able to monitor your actual business performance against your forecasts each month.  If you need to take corrective action to improve results, this will be flagged immediately, instead of you finding out at the end of the year, when it is too late!

Businesses need different cash requirements at different stages of the business life cycle. We help you to plan out your cash requirements to ensure your business maintains a positive cash position through tricky periods of growth and additional expenditure. This process will highlight potential critical future cash deficits, helping you plan to avoid this.

You may need help with the above, or perhaps you have a different set of issues?  We’ll be delighted to help – Contact us now to make an appointment