I help businesses forecast cash and avoid unexpected liquidity gaps
United Kingdom
English
About me
Struggling to see how much cash you’ll have available next week or next month? I build clear, dynamic rolling liquidity models that help you forecast cash inflows, outflows, funding needs, and potential shortfalls before they become urgent. You’ll gain a practical view of your cash position, improve working-capital decisions, plan funding with confidence, and reduce the stress of unexpected cash gaps. Whether you need a 13-week cash flow forecast or a tailored model, I’ll turn your numbers into actionable visibility.... Read more