Cash flow management tops the list of challenges most small businesses encounter. No matter how long you’ve been in business, a cash crisis can arise at any time and it can even kill your business.
I&U CPA LLC professionals offer you sound, practical ideas to ensure cash flow fluctuations are kept to a minimum. We analyze your current situation to determine ways to effectively enhance cash flow from month to month. Our recommendations will put you back in control of your cash flow.
Visibility is a fundamental requirement for effective cash management. Without timely visibility over the company’s cash, you cannot make effective cash management decisions, and risks holding too much cash. Liquidity is important, but maintaining too much cash in your liquid assets is inefficient and a waste of company resources. Good visibility therefore allows a whole series of decisions to be taken to manage cash and liquidity more efficiently.
Once we have clear visibility over existing cash balances, we will develop a cash flow projection for you. We can help you develop both short-term (weekly, monthly) cash flow projections to help you manage daily cash, and long-term (annual, 3-5 year) cash flow projections to help you develop the necessary capital strategy to meet your business needs.
Our cash management service allows you to:
We also prepare historical cash flow statements to help you gain an understanding about where all the money went.
Creating an accurate cash flow projection is just one of the many cash management services we provide. You also get:
To learn more about how we can help you avoid stressful cash shortages please complete this form to get a free consultation.