Closers Finance™

Forecasting, Budgeting, Cash Flow & Analysis

Choose Closers Finance for your financial management requirements. We specialise in helping small and medium businesses make stronger business decisions based on their quantitative and qualitative data.

Cash Flow Optimisation

In the wake of Covid-19, many businesses have discovered that cash flow optimisation is a responsibility of senior management and the Board. We offer strategic advice on demand forecasting and liquidity risk analysis.

Financial Analysis

In addition to conducting vertical and horizontal analysis of your income statement, we examine the liquidity, leverage and operational efficiency of your balance sheet. Talk to us for affordable financial statement analysis solutions.

Capital Budgeting

One of the most crucial elements of a company is the management of its capital. A minor error can gravely effect its financial position in the future. We work with financial managers to sound out the feasibility of projects.

Governance & Risk

As new regulations are introduced, boards are challenged into providing  greater levels of transparency, objectivity and professionalism. We help directors ensure that standards are adhered to and systems put in place.

Policies & Processes

Usually, business processes and policies to grow during the lifespan of a company. Agility in many industries is key to gaining competitive advantage. Allow us to evaluate your productivity, and guide your competitiveness.

Remote Management

Are you looking for a CFO, Financial Director, Finance Manager, Management Accountant? Talk to us about our remote management solutions to grow your business without the additional headcount.

Invest in the growth of your business!

Talk to us about your specialised needs.