by Peter Dragone | Jan 30, 2023 | Peter Dragone Blog, Planning
My last blog outlined several immediate strategies for improving cash flow. Yet, actively managing your working capital, changing sales terms, and cutting unnecessary expenses only goes so far. What more can be done if cash balances are still lagging? Consider taking...
by Peter Dragone | Jan 29, 2023 | Peter Dragone Blog, Planning
With April 15th on the horizon, managers’ thoughts often turn to cash flow. Or the lack thereof. For many, prior year planning never happened and a substantial tax bill looms. What can be done to improve cash flow? It’s a question we hear with some frequency. My...