Young & Co.

CHARTERED ACCOUNTANTS AND REGISTERED AUDITORS

 

 

cash flows

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A cash flow forecast is a prediction of where you feel your business will be, financially, in anything from 6 months to 5 years from now.

 

As you can imagine projecting into the future is not an easy thing to do.  However given historical and anticipated growth levels and projected accounts to ensure the end result is realistic, it is possible to predict reasonably accurately where your business will be in the future.

 

 


 

With the many years experience that we have in building projections, coupled with our in depth knowledge of industry sectors, and the awards we have received for our models, we can tailor a projection to your business.

You can then use the projection for many purposes, such as; 

  • build a budget to steer your business financially

  • use the projection to see if a new product line will be profitable

  • help get finance

 

Whatever your need, we can help.

 

 

 

 


 

Registered to carry on audit work and regulated for a range of investment business activities by the Institute of Chartered Accountants in England and Wales