Profit and cash flow forecasts

Every business needs to plan ahead to ensure success. After all, you wouldn’t set off on a long journey without knowing where you are going and the route you expect to take.

Having in place an accurate picture of your likely profits and cash flow needs through financial forecasting is crucial to ensuring you make the spending and strategic decisions that will help to shape the future progress and financial health of your business.

SG Outsourcing can prepare profit and cash flow forecasts to inform budget setting and control spending. We can also produce financial forecasts during the year to indicate expected results and highlight if these are likely to be significantly different from budget so as to bring the business back on track.

As well as helping to maintain financial health, we can work with you to produce financial forecasts to provide reassurance to banks and other investors.

For more information about our cost-effective outsourced business services, please call us on 01482 326916 or 01652 632927 to arrange a free, initial consultation or click here to request a call back.

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