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.
Real estate investors, who want to cash out more from their rent incomes.
Entrepreneurs who initiate new projects.
Energy companies who break new grounds.