Managing cash is critical to the success of any enterprise. We have staff in three separate roles to work with you in this area.
Your Account Manager will sit down with you to plan your short term cash requirements. Once the targets are agreed our account manager will ensure that our team works to them.
Our experienced Credit Controllers will professionally chase the outstanding amounts with customers and keep you informed of any business issues related to their collection.
Where necessary, our Supplier Managers will negotiate longer credit terms with your suppliers and keep them informed as to when payments will be made.
The team work together to control your cashflow within the agreed limits so you can rest assured that there are no nasty suprises or nasty phone calls from the bank manager waiting for you at the end of the month.