Our team helps clients to unlock cash, reduce funding requirements, improve cash flow visibility, assist in negotiations with key creditors, improve asset utilisation and to smooth relationships between management, lenders and other stakeholders.
We have a proven track record in assisting businesses to achieve rapid improvements in cash and working capital management by enhancing procedures and controls, often employing the expertise of the firm’s tax, property and industry specialists. We advise and assist management with the implementation of improvement programs, including staff training.
Common indicators of a need to review cash and working capital management include:
To find out more, please contact Lieve Creten or Hilde Wittemans.