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Cash Flow Analysis & Projection Services for UK Businesses

Stay Liquid. Stay Ready. Stay in Control.

We help businesses predict, prepare, and perform. Whether you’re navigating growth, managing risk, or seeking funding, our cash flow forecasting services give you the clarity to act decisively and the confidence to know your growth plans are fully backed with cashflow.

Stay Liquidity Ready

Be ready for any situation; whether its potential cash surpluses or seasonal shortfalls, never get caught off-guard. Stay liquidity-ready always.

Spot Risk Before They Hit

With historic and current data combined with automated bank reconciliations, you can plan investments, manage debt, and stay cash positive. We give you a future view of your inflows and outflows for the next month, quarter, and year.

Forecast with Confidence

When you know the future cash inflows and outflows for the coming month /quarter or year, you can make informed strategic decisions regarding finance expansion plans, headcount etc.

Cash Flow Forecasting & Projections – Know What’s Ahead, Always

Cash is the fuel that keeps your business moving. Our team combines real-time data with strategic foresight to give you tailored, actionable cash flow projections.

We analyse daily transactions, spot patterns, and build forecasts that reflect the realities of your business. Whether you’re prepping for growth, avoiding a cash crunch, or just want better control then we’ve got you covered.

what we offer

Our Cash Flow Services for SMEs and Growing Businesses

In-depth Cash Flow Analysis

Track income, expenses and profit across time. We help you monitor liquidity, identify trends, and spot trouble early. When you identify trends and pinpoint potential issues- you are on the path to sustainable growth.

Tailored Cash Flow Projections

Every business has a unique cash cycle. We build custom, three-way forecasts that link your P&L, balance sheet, and cash flow for a complete picture.

Scenario & What-If Planning

What happens if sales drop 15%? What if you double your team? We model it all, so you’re never making decisions in the dark.

Outsourced Cash Flow Management

Don’t just increase your overhead by hiring new members or investing in new tools. With outsourced solutions you get a team that handles everything, from setup to reporting, and formulating flexible strategies.

Accounting Software Integration

We seamlessly integrate with Xero, QuickBooks, and other major platforms so your forecasts are powered by real data. We even accommodate bespoke industry specific systems in many circumstances.

Regular Monitoring & Updates

Your business evolves and your forecast should too. We update and refine your projections to keep them relevant and reliable.

Julian Hobbs

Founder & Chartered Accountant

“The only certainty in business is uncertainty! “

Why UK Businesses Choose Julian Hobbs & Co for Cash Flow Management

Our cash flow analysis and projections follow a systemic and structured approach, with pre-defined templates and risk management strategies put in place to deliver accurate insights, and curate better financial plans backed by data. Our services are ideal for companies aiming to secure funding, make better decisions, as well as to grow sustainably. Our firm employs seasoned Chartered Accountants, providing visual cash flow data at your fingertips, anytime, anywhere.

How We Do It

1. One-to-One Discover Call

Get a 30 min free consultation lined up with our MD. Know our experiences and diverse industry portfolio.

2. Custom Proposal & Transparent Pricing

We create tailored proposals based on exact requirements and send it upfront with no hidden charges

3. Onboarding & Strategy Set Up

Once you’re happy to proceed, we set up your financial strategy roadmap, and get to work straight away.

4. Regular Check-Ins

We help you stay ahead of the challenges and capture new opportunities as your business grows

1K+

Satisfied Clients

1B+

Assets Managed

10th

Years in Business

10k+

Loans Approved

Contact

Let’s Take the Stress Out of Your Finance Function

Whether you’re looking for day-to-day support or strategic financial direction, we’d love to learn more about your business. No pressure. No jargon. Just a friendly chat to see how we can help.

Testimonial

What Our Clients Say

We’re proud to work with brilliant business owners who trust us to take care of their finances, year after year.

Get A Consultation If You Need Help

We’re proud to work with brilliant business owners who trust us to take care of their finances, year after year.

Frequently Asked

What is a cash flow analysis and why is it important?

It tracks the movement of money in and out of your business. Done properly, it helps you understand liquidity, avoid nasty surprises, and prepare for upcoming costs or opportunities.

Businesses often underestimate expenses and make mistakes in guessing their income without considering delays in customer payments. Some also forget to include seasonal expenses, unexpected costs, and others use outdated static data. We take a structured approach backed by real-time data and what-if situations to make you future ready.

It links your P&L, balance sheet, and cash flow into one model. This gives you a full picture of how sales, expenses and assets impact your cash — ideal for funding, planning, and growth..

A budget shows what you expect to happen. A forecast shows when it actually happens. You can hit all your revenue targets and still run out of cash if timing’s off.

It depends on how your business runs. If your cash flow is steady, updating the projection once a month or quarter might be enough. But if you’re growing quickly, managing tight cash, or facing uncertainty, it’s better to update it weekly. We offer flexible cash flow projection options—weekly, monthly, or quarterly—based on your business needs.