Sollertia -ae f.
Latest Sollertia Blogs
How to make an accurate cash flow forecast
Three ways to improve your business credit ...
Newsletter
Sign up for the latest news, tips and advice on business and accounting issues
Cashflow Management
Receive a FREE Benchmark Review
Compare your business cash-flow against others in your industry, confidentially and free!
Most businesses can survive for a short time without sales or profits but, without cash they will go under very rapidly. For this reason, the inflow and outflow of cash needs careful monitoring and management.
Effectively managing debtors and creditors - speeding up the inflows and slowing down the outflows - is a balancing act which Sollertia’s cash flow management service will achieve to help you sustain a healthy business.
By forecasting cash flow, we can enable you to predict peaks and troughs in your cash balance which helps you to plan borrowing and indicates how much surplus cash you may have at any given time. Banks will almost always require a cash flow forecast before approving any loans.
Cash Flow Management also interlinks with our Working Capital Analysis - outsourcing this to Sollertia facilitates effective management and better use of working capital within a business.