Darren-YatesAt Yates Group we are Business Cashflow Experts. The business cashflow and profit forecasts we prepare needs to be robust and built upon assumptions that are directly linked to operational targets (units sold targets, price targets, profit margin targets, productivity targets, lead generation targets, lead conversion targets, cost minimisation targets, days debtor targets, stock turnover targets, WIP days targets, creditor days targets, return on investment targets etc). Once these operational targets are set and are then regularly measured it becomes very clear which parts of the business need to improve to get the results you are aiming for.

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See also:

Business Cashflow Expert

Cashflow Forecast Expert

Cashflow Help