Here we run through our 5-step process for designing, building, & maintaining a Fathom based financial forecast; Foundation, Story, Economics, Technical, & Communication.
Read MoreManaging the financial health of your business requires understanding various financial statements.
The three most common ones are the Profit & Loss (P&L) statement, the Balance Sheet, and the Cash Flow Statement. While they may seem similar at first glance, they serve different purposes and provide unique insights into your business's financial performance.
Read MoreIt is almost a law of business, like gravity, that growth sucks up cash. Cash has to come from somewhere. A common source are banks. In order to obtain the best deal possible relationships matter. Banking is no different, but at the same time, banks are their own beasts. So what creates a strong banking relationship and what can you do to strengthen yours?
Read MoreManaging retentions are key to success in the construction industry. In this post the use of bank guarantees is explored as a tool to optimise cash flow & ease the administrative burden of retention management.
Read MoreManaging tax debt is critical to controlling cash flow. In this post David Maher, founder of Right Brain Insights, explores 9 ways we help our clients figure out, communicate, & manage ATO payment plans.
Read MoreWhen a crisis hits, liquidity matters most. Cash in the bank = options. In this post David explores different ways RBI’s clients managed the impact of COVID-19.
Read More