CFO Services at Torino Accounting Group
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Budget & Forecasting
Developing a robust budget and accurate forecasts is critical for achieving your business goals. We work closely with your team to create a detailed financial plan that aligns with your strategic objectives and accounts for anticipated expenses, revenue streams, and growth initiatives. With our proactive approach, you’ll gain a clear roadmap for managing resources, addressing potential challenges, and seizing opportunities as they arise.
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Cash Flow Management
Ensure your business’s financial stability with proactive cash flow analysis, cost management, and liquidity planning, while monitoring key metrics such as cash conversion cycle, days sales outstanding (DSO), and operating cash flow
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KPIs (Key Performance Indicators)
Tracking the right Key Performance Indicators (KPIs) is essential for understanding your business’s health and performance. We identify, monitor, and analyze KPIs tailored to your business, such as revenue growth, profit margins, customer acquisition costs, or cash flow ratios. By providing regular insights and actionable data, we help you make informed decisions that drive sustainable growth and operational excellence.