Financial Forecasting
Our 2 hour initial review meeting is completely free and without obligation
Financial forecasting reflects the financial impact of the strategies that are developed in the business plan. These cash Flow Forecastes,Balance Sheets and Profit and Loss Forecastes are essential in the current recession climate to keep stakeholders happy
In todays climate, banks and other funding institutions, are looking closely at the financial situation of their clients, particularly when additional loans and overdrafts are required.
We use sophisticated financial forecasting software that can easily generate Profit and Loss Accounts, Cash Flow Forecasts and Balance Sheets to satisfy the institutions
Today it is desirable to develop management accounts on a monthly basis which then allows the management to make strategic decisions, if necessary, based on current facts. Indeed in many instances these accounts are required by banks as part of the loan or overdraft agreements.
We can assist in helping you monitor your profit and cash flow situation on a regular basis and in taking any corrective actions that may be necessary to improve your financial position
To start planning your business financial future