Do you need more control over your business?
Do you want to forecast and manage your cash?
Do you want to model the effects of change in your business?
If so, call us today on 0800 043 3099 or email
At Fruitful we understand how important it is to be able to accurately predict cash flow, modelling different scenarios and outcomes. This will give you better control and visibility of the cash in your business.
Modelling enables you to forecast P&L, balance sheet and cash flows thereby giving you a framework for decision making in areas such as marketing investment, working capital management, Capex and product / customer profitability.
The model will reflect your business with clarity built upon our insight gained working for FTSE 100 companies, be well-built and durable due to our extensive Excel / Access programming experience gained in the City.
Fruitful will help you identify and measure your key levers / activities, such as average transaction value (ATV), volume, pricing and link them to your financial model, enabling you to plan ahead with confidence.
With the Fruitful modelling you will get;
- A reliable automated model that is easy to use
- Complete staff training
- On-going support and updates
Interested? Call us now on 0800 043 3099