Cash Management and Forecasting

In the current uncertain economic environment, many of our customers are asking us to incorporate balance sheet and cashflow into their planning requirements. Not only do companies need to plan their profitability based on a number of scenarios, but there is an increasing requirement to understand its effect on working capital and cashflow. Many organisations are grappling with how to do this, and also to understand the implications from a financing and funding perspective.

We are partnering with Stan Wilson, who has been in the banking and finance industry for over 20 years analysing companies financing capabilities. If you need help with  your cashflow and working capital requirements, you can contact Stan  directly on the details below or send us a message.

Stan Wilson +64 27 8997637

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