Budget and Cash Flow Forecasts
From time to time businesses need to look into the future to estimate anticipated profit and performance for a number of reasons. We can assist with the preparation of detailed budgets for the following financial year or two or more years, if required.
We review the forecasted budgets and offer advice on the interpretation of variances between actual and budgeted income and expenditure.
Alongside budgets we can also prepare detailed cash flow forecasts and projected Profit and Loss Account and Balance Sheet, which is usually a requirement of any lender considering a finance proposal.
We have strong working relationships with many lenders and work closely with them to secure the deal and have been successful in assisting many clients to obtain finance for a wide variety of different projects.