Background

Cash flow is the lifeblood of every business. Without clear forecasts and budgets, growth is risky and problems can appear without warning.

I create tailored forecasts and practical budgets so you always know what’s coming in, what’s going out, and how to plan ahead.

With reliable financial planning, you can invest with confidence, manage risks, and avoid unpleasant surprises.



The Challenges I Solve

  • Uncertainty about future cash flow
  • Overspending or uncontrolled costs
  • Difficulty planning for growth or investment
  • Unexpected shortfalls causing financial strain



How I Work

  • Data Gathering – I use historic figures, sales forecasts, and known costs.
  • Forecast Creation – I build rolling 3, 6, or 12-month models.
  • Budget Planning – I create realistic, department or project-level budgets.
  • Monitoring – I compare actuals vs forecasts and refine as needed.

Why It Matters

  • No more guesswork in financial planning
  • Confidence to expand or invest
  • Better supplier or lender negotiations
  • Reduced risk of sudden shortfalls

Who This Service Is For

  • Businesses with unpredictable income
  • Companies looking to grow or invest
  • Owners wanting more financial control

Frequently Asked Questions (FAQs)

How often should forecasts be updated?

Monthly updates are best to keep accuracy high.

Do you work with seasonal businesses?

Yes — I can build in seasonal peaks and troughs.

Can forecasts integrate with my software?

Yes — I work with Sage, Xero, QuickBooks, and more.

Do you provide budget vs actual reports?

Yes — I highlight variances and provide commentary.

Can you train my team to maintain forecasts?

Yes — I can hand over the process with guidance.

Not sure where to start?

Let’s talk it through. Book a free, no-obligation call and we’ll discuss your challenges, explore solutions, and see how I can help get your finances back on track.

A woman with long brown hair wearing a navy blazer and white shirt poses in front of a plain dark background.