Gestión de Caja y Tesorería – Servicio de Asesoría

USD $79.99

Characteristics:
Hourly consulting service
Expert advice on cash flow forecasting and analysis
Guidance on liquidity optimization
Tips on treasury risk management

Deliverables:
Detailed report and an expert guide to optimize your cash flow, liquidity, and financial risk management, contributing to the financial stability of your company.

Estimated Delivery Time:
Available by agreement, with sessions scheduled monthly or as required.

Description

Our service is aimed at providing expert guidance to optimize your cash flow, liquidity, and financial risk management, contributing to the financial stability of your company.

We recognize the importance of efficient cash and treasury management, especially in today's business environment. Our advisory sessions are focused on providing you with detailed analysis and practical advice to improve your financial position.

During the consultation, we will examine your current cash flow and liquidity processes, identifying areas of opportunity and possible risks. Based on this analysis, we can develop detailed reports and customized action plans, available at an additional price, to guide you in implementing effective financial management strategies.

This advice is ideal for companies seeking to improve their cash flow and liquidity, as well as proactively manage financial risks. With our personalized approach, you will gain not only valuable insights but also practical tools to strengthen the financial health of your company.