Cash flows: analyzing and identifying opportunities to improve cash flow
Establishing achievable and meaningful milestones
Providing accurate financial information to your management team
Strategic support to take full advantage of achieving business plans.
Developing and documenting internal controls to protect your company and meet external audit requirements
Managing accounts payable, accounts receivable, and payroll
Preparing routine financial reports for the management team
Protecting your company’s assets through internal control and auditing
Identifying opportunities for expansion and projecting future development
Establishing guiding principles
Defining integration strategy
Providing M&A integration training
Leading and managing
Communication plans
Staffing and retention plans
Project integration plan
Plans day one and integration execution
General ledger integration
Capture lessons learned & continue implementation plan
Maximize your business profits
Evaluating, identifying opportunities, proposing, and implementing process improvements:
Historic and future profit analysis
Identifying spending categories with cost savings opportunities
Identifying and evaluating key customers
Analyze products/services profitability
Current and future cash flow
Developing and implementing KPI’s to manage your balance sheet P&L
Working with staff to develop detailed job descriptions and identify efficiency opportunities
Identifying, developing, and implementing productive opportunities, enabling your business to operate more efficiently
Certified QuickBooks ProAdvisor
Debbie Politi Davis
Debbie Politi Davis