Budgeting and Cash Flow Analysis
Minimize shortfalls. Maximize income sources. Make well-informed decisions.
Budgets are not just line items. They are planning tools, benchmarks, roadmaps to future growth. Stanislawski & Company helps you navigate around potential red flags in the tax code or changing policies in a volatile economic landscape. Our team will take a close look at your team, guiding you on cost cuts here or further investments there.
We will constantly forecast business growth based on detailed analyses of financial statements coupled with market/industry intelligence. In turn, you'll know where to go and how to get there, especially when seeking additional assistance from lenders or strategic partners who require a detailed accounting before extending loans, lines of credit, partnership contracts.
Stanislawski & Company also assists those about to launch a venture by helping to set up new entities, determine initial finance needs, project cash flow, assess returns on investment, even offer strategic business guidance based on decades of consultative expertise across a breadth of business categories.
- Budget monitoring
- Balance sheets
- Account reconciliation
- Fixed/variable costs
- Cash flow/cash management
- Special Financing
- Improve liquidity, profitability
- Financial planning/statements
- Pass-through entity analysis
- Risk analysis
- Asset analysis
- Employee benefits
- Charitable contributions