Elevate create exceptional financial forecasts. This is our speciality.
A three-way financial forecast is a forecast model that comprises a Profit & Loss Statement, Balance Sheet and Cash Flow Statement. This level of forecasting provides not only a snapshot of the expected future profitability, but also the cash flow implications and associated balance sheet.
Many businesses encounter periods of cash flow difficulty – for some it’s temporary and for others it’s more serious. We have significant experience in working with businesses that are suffering from cash flow shortages and have a lack of working capital. These shortages either arise from rapid business growth or when businesses are in financial distress.
We are often asked to not only help businesses identify the problem, but to help them over an extended period of time to trade through the difficult patches and recover. We take responsibility for working capital management, we activate our networks and contacts to assist, we formulate restructuring plans and help raise finance where available.
We play a valuable role in working for our clients to assist in managing the sale process on their behalf. Any sale transaction can be a distraction for the business, let alone when it is a significant and complex deal.
Elevate can help to reduce the burden and provide an independent opinion and advice. We provide a sounding board for the business owner so that they can discuss and brainstorm what is otherwise a highly confidential process.