It’s often said that cash is king and that’s why cashflow forecasting can really help you and your business. We can help you to prepare full financial forecasts (including profit and loss accounts and balance sheets) to help you if you are planning to raise finance to expand your business, sell your business or just need some clarity over what to expect in the years to come.
We provide a full range of reports for all kinds of business, including quality business plans. We spend time with you to discuss your expectations for the business and future plans and build a full financial model based on this.
We have extensive experience of cashflow forecasting and business plan production and will ensure your estimates and assumptions are supportable so that they stand up to scrutiny by third parties. We will also help you to understand what impact changes in the assumptions will make to the overall picture with our sensitivity analysis.
Our financial forecasts can be used and flexed on an ongoing basis so you can see how your business is performing to plan and to budget to ensure that you are on track to realise your business goals and potential.
We’d be happy to have a chat about how our cost-effective financial forecasting service can help your business. For an initial free consultation, please call us on 0151 625 2250 or email us at firstname.lastname@example.org.