ADELAIDE'S CASH FLOW AND BUDGETING EXPERTS

We are committed to ensure your business is well placed to survive and prosper post COVID-19.

Financial modelling and forecasting is a powerful tool which can help you understand the impacts of decisions or events on your business’ performance. Knowing where your business is heading is key to future success.

Our financial modelling team can help produce meaningful financial forecasts and models to help you make the right decisions about your business. We can crunch the numbers to help support your business in achieving its objectives. Looking forward is key to achieving future business success and our forecasts will help you understand the path to get there.

Using our specialist software we can produce integrated three-way forecasts (Profit and Loss, Balance Sheet, Cash-Flow Statement), using data downloaded from the cloud.

HOW WE CAN HELP

  • Modelling impacts of COVID-19 and government assistance
  • Cash flow planning
  • Budgeting and forecasting for bank/finance purposes
  • Financial modelling to demonstrate scenarios (‘scenario analysis’)
  • Monthly management reporting to track performance
  • Preparation or review of budgets and financial projections
  • Assess and discuss current and future business performance

SPEAK WITH ONE OF OUR DEDICATED FINANCIAL MODELLING TEAM MEMBERS

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Contact our dedicated financial modelling team today to find out more.

Chris Rosser
Assistant Manager, Corporate Advisory

Amelia Barbara
Manager, Corporate Advisory

Adrian Chugg
Director, Business Advisory

HOW CAN WE HELP?

Three-way financial modelling

Cash-flow management

Financial projections

Budgeting, forecasting and review

Contact our dedicated financial modelling team today to find out more.