Cash Flow Management
Without access to cash, you will not be able to achieve your business objectives. Dazz Management helps you build a strong discipline around cash flow management. Our team will monitor, analyse and help you to optimise your cash management processes and ensure that you have timely, accurate data at your fingertips when you are making business decisions.
Our Cash Flow Management Services Include:
- Risk analysis;
- Sales pipeline / income monitoring;
- Expenditure monitoring;
- Projections;
- Business planning;
- Working capital management.
Benefits of Outsourcing Cash Flow Management
There can be various reasons why businesses need to outsource their cashflow management. It may be that a business is growing but doesn’t yet have the resources to hire a financial controller, or it could be that its finance team lack the skills needed.
The advantages you gain when you outsource your cash management to Dazz Management, include:
- Accurate information: We will help you anticipate when cash will be needed so that you can prepare to have resources in place on time.
- Working capital: We will help you identify opportunities to improve your working capital which in turn can help improve your resilience and provide capital for future development and growth.
- Credit Control: We will help ensure your invoices are raised promptly and that late payments are followed up.
- Decision making: We will help you improve decision making by enhancing your short and long-term cash forecasting
- Cash management procedures: We will provide advice for your team on how to improve your internal cash management procedures.
- Risk analysis
- Sales pipeline / income monitoring
- Expenditure monitoring
- Projections
- Business planning
- Working capital management
