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Cash & Working Capital Optimisation

Placing value on cash

Liquidity is moving up the CFO and LP agenda. Fast.

Our specialist teams across Cash & Working Capital are perfectly placed to support clients in taking action to optimise cash and tightly monitor cash flows. As Private Equity and corporate clients continue to see volatile conditions in the market and an increasing squeeze on profits and cash flows, we strive to provide data-driven insights and operational and practical implementation, to be of real benefit for you and your business. 

With proven IP-rich, data driven and practical approaches, we can help you today.

Explore our Cash & Working Capital services

Inflation and interest rates
Inflation has ramped to 10% or more in many western markets and central banks are responding with hikes in interest rates - North American and European markets are all making the largest interest rate increases in many years.

Pressure on working capital
Combined with the ongoing fall-out from supply chain disruptions in China and elsewhere - with up to a fifth of container ships stuck outside ports in the last months - the situation for our clients has changed. PE and corporate clients are seeing an increasing squeeze on profits and cash flows in particular, as safety stocks are increased and the rising cost of energy and raw materials inflate inventory costs.

Increases in interest rates and debt market concerns are raising costs of financing that working capital and any potential deterioration in payment behaviour by customers will exacerbate the situation.

Beyond cash
For many clients, once the immediate cash pressures have been alleviated, there should be opportunities to expand into broader forecasting and treasury or hedging topics. This can embed and support the ongoing control of working capital and allow clients to focus on profit improvement measures.

Cash scans

Cash scan: 1-2 weeks | Identifying cash improvement opportunities at speed | Limited management time required | Data first | Opportunity Validation

Cash deep-dive: 3-6 weeks | Developing a bottom-up cash plan | Refined, actionable opportunities | Company dashboards | Overlaid forecasts

Selected deliverables:

  • 13 week rolling CFF model
  • Operational Dashboards
  • Prioritised initiatives
  • CFF assessment report
  • Working capital benchmark
  • Cash and working capital maturity assessment
  • Cash management operating model benchmark
  • Reporting cycle and process