This 60-minute consultation is designed to give you a clear understanding of how money moves through your business and what you can do to optimize it. With your expert, you will analyze current inflows and outflows, uncover the root causes of cash shortages, and identify opportunities to improve liquidity. You’ll leave the consultation with a practical plan for forecasting, managing timing gaps, and strengthening financial stability, so your business can operate smoothly and grow with confidence.
After the session, you will receive a brief written summary by email. Additional in-depth analysis is available as a follow-up service for an extra fee.
SERVICE KEYWORDS
- Financial Forecasting
- Working Capital Optimization
- Business Budgeting
- Cash Flow Strategy
- Expense Control
- Revenue Forecasting


