Valente CPAs

CASH FLOW AND BUDGETING ANALYSIS

A business can be profitable and still run into trouble due to cash flow issues. We can forecast and evaluate your company’s financial condition, estimate financing requirements, and track cash flow sources and uses. New business start-ups, expansions and new asset additions all require resource allocation planning which begins with projections based on reasoned assumptions, sensitivity analysis and industry expertise. Valente CPAs can help. Our team of business advisors help you identify and mitigate your business risks and increase your opportunity to succeed. Call us.