Cash Flow & Working Capital Management

Cash Flow & Working Capital Management

Services Offered

We provide disciplined cash flow and working capital oversight to ensure liquidity, stability, and growth readiness. Our focus is on optimizing cycles, forecasting needs, and minimizing financing gaps.

  • Continuous monitoring of inflows and outflows: Real-time visibility into liquidity positions.
  • Receivable and payable optimization: Improve cash cycles through effective collections and payment management.
  • Inventory cycle monitoring: Balance stock levels without tying up excess capital.
  • Cash flow forecasting: Anticipate short-term and long-term requirements with accuracy.
  • Treasury and financing strategies: Proactively address funding needs while optimizing cost of capital.

Execution Process

01

Client Onboarding & Discovery

Understand business, financials, and engagement goals

02

Diagnostic & Assessment

Analyze performance, processes, and identify gaps

03

Planning & Framework Setup

Build budgets, forecasts, MIS dashboards, and controls

04

Execution & Monitoring

Track cash flow, KPIs, and support strategic decisions

05

Advisory & Continuous Improvement

Recommend actions and optimize performance

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Get in Touch with Us

Lets Talk With Us
FAQ’S

Frequently Asked Quetions

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  • What is a vCFO?
    A vCFO provides strategic financial leadership remotely, helping businesses manage finances, optimize cash flow, and make informed decisions without a full-time CFO.
  • How can a vCFO help my business?
    By improving financial planning, reporting, cash management, and offering strategic guidance for growth, fundraising, and risk mitigation.
  • Who should hire a vCFO?
    Start-ups, SMEs, and growing companies seeking expert financial support on a flexible, cost-effective basis.
  • What services does a vCFO provide?
    Budgeting & forecasting, MIS reporting, cash flow optimization, compliance, strategic advisory, risk management, and performance monitoring.