Liquidity Optimization

Our services

Liquidity – the chance for success.

Always having enough cash available – this is the objective of cash-management.

WE see ourselves as >external CFO<, who provides a basis for an ongoing availability of liquid money. This for sure includes a controlling as well. Together with our long-lasting experiences we use herein classical instruments like adequate account current frames but also a qualified claim management. Tax optimization is a matter of course as well.

Our clients

Real estate investors, who want to cash out more from their rent incomes.

Entrepreneurs who initiate new projects.

Energy companies who break new grounds.