Profit and cash management
Your company will need to drive its results in order to avoid hurdles, hire new people or invest in new assets or activities.
We will take the role of a « financial controller » based on our expertise and our knowledge of your strategy, organisation, and data.
Our services include :
Preparing a forecast
Revising the forecast at mid-year
Displaying periodic dashboard
Assisting you in elaborating your business plan
Consolidating the accounts of your subsidiaries
Preparing a cashflow forecast