Particularly during expansions, it is often difficult to maintain a clear picture of the existing financial structures, allowing all sections of the company to operate under optimized, sustainable and stable financial planning parameters. Additionally, the operative daily business of the financial section often takes center stage, while a consistent orientation along a secure line of cash management is neglected. In the area of financial controlling, we ensure your company’s sustained liquidity with consistent cash flow planning through analysis and optimization of the existing financial structure, as well as consideration and compliance with the current legal framework.
We are also glad to help you locate internal and external sources of capital. Additionally, we develop and implement management information systems, such as compliance structures, risk management systems or ICS, and support you with complex issues such as cost accounting and controlling.