
Control Risk and Cash
Early in our engagement we will determine the largest risks and threats to the business and discuss with the owners how best to protect their companies and mitigate any risk. We will also assess the current cash position and working capital investment and take steps to improve controls over cash “out” and look to improve Credit Control procedures to improve cash “in”. We also have good experience in raising funds for clients.
For more detail please read some of our case studies and blog posts:
David has had a massive impact on our business in a short time. Our company now has the ability to forecast and plan rather than simply trying to achieve slightly better than prior year. His unique toolkit has restructured our company into three contribution centres each with a manager who owns the numbers and is motivated to deliver.
Get in touch
Find out how we can help your business today.


