Financial Forecasting and Cash Flow for your business

A robust financial forecast is not a planning document but an item which is used to project the financial performance of a business.

It can help you understand the viability of a business venture or give external investors an idea of how a business will perform following the effects of investment.

A financial forecast can be part of a business plan or it may stand alone but, whatever you need it for, we can help you prepare it.

Once you have your financial forecast in place you will have to budget to ensure your cash flow remains in line with your projections. Cash flow management is essential to your business operations.

Combined with our wide-ranging experience gained over many years advising clients, this means we can identify early warning signs of cash flow going off track and advise what to do to improve it. In short, working together with us we can increase the attractiveness, functionality and profitability of your business.

Talk to us about your financial forecasting and cash flow requirements today. Cottons Chartered Accountants are small business accountants who offer a full range of business, accounting and tax services. Our teams of knowledgeable partners and qualified accountants are situated throughout the Midlands and in the South East, check out our locations and who we work with.

Your next step? Speak to our team

Our local offices provide support to local businesses with sound tax and accounting advice and good local economic knowledge.

By choosing Cottons you will ensure that you and your business are not at risk of incurring and penalties from HMRC.

We understand that choosing an accountant for your business can be daunting, that’s why we offer a free, no-obligation meeting with a member of a team to help answer any of your questions. Click here to fill in our short form and a member of our team will get in touch