Learn how to understand the financial performance of your business

Join our FREE webinar

Lets face it accounts are boring! However accounting is the language of business and therefore your better learn how to read it!

Our webinar will take you through the key methods and strategies you can implement to ensure you really understand your business financials and gain Financial Clarity

Turn Your Business Finances Around in 90 Days – Fast, Focused & Effective

Is your business struggling with financial challenges?

✔ Cash flow problems causing stress?

✔ Unclear numbers making decision-making difficult?

✔ Struggling to pay VAT, tax, or supplier bills on time?

✔ Profit margins too low to sustain growth?

Our 90-Day Financial Turnaround Plan provides a structured, hands-on process to fix these problems and set your business up for long-term success.

How It Works – A Step-by-Step Process

Phase 1: Financial Clarity & Quick Wins (Weeks 1-4)

Goal: Identify key financial challenges and implement fast, high-impact improvements.

✔ Full Financial Health Check – Analyze cash flow, profit margins & financial bottlenecks.

✔ AI-Powered Bank Statement Review – Identify cost-saving opportunities & eliminate unnecessary spending.

✔ Cash Flow Gap Analysis – Diagnose short-term risks & create a rapid action plan.

✔ Invoice & Payment Review – Improve collection speed and reduce aged receivables.

✔ Cost Reduction Plan – Identify inefficient spending and renegotiate supplier terms.

✔ Compliance & Tax Check – Ensure VAT, payroll, and taxes are up to date.

Phase 2: Cash Flow & Profit Optimisation (Weeks 5-8)

Goal: Improve cash flow, optimise profitability, and set a strong financial foundation.

✔ Profit Margin & Pricing Review – Ensure your pricing is optimised for profitability.

✔ Cash Flow Forecasting – Build a short-term and long-term cash flow projection.

✔ Debt & Liabilities Strategy – Create a structured repayment or financing plan if needed.

✔ Efficiency Audit – Identify automation or outsourcing opportunities to reduce costs.

✔ Working Capital Review – Assess stock, debtors, and creditor management strategies.

✔ Personal vs. Business Finance Structure – Optimise director drawings, dividends & salary for tax efficiency.

Phase 3: Long-Term Growth & Financial Strategy (Weeks 9-12)

Goal: Build a scalable financial framework that sustains business growth.

✔ Financial Dashboard Setup – Custom KPI tracking to monitor ongoing business performance.

✔ Budgeting & Scenario Planning – Plan for different financial scenarios & market shifts.

✔ Funding & Investment Strategy – Prepare for potential business expansion or investment.

✔ Operational Cash Flow Management – Create a system for ongoing cash flow monitoring.

✔ Quarterly & Annual Planning Structure – Implement best practices for tracking growth metrics.

✔ Final Strategy Review & Next Steps – Ensure all financial improvements are sustainable.

What's Included?

3 x 1:1 Financial Strategy Sessions

One at the start of each phase to ensure alignment & execution.

AI-Powered Cost Savings Report

Automated insights + expert recommendations.

Custom Cash Flow Forecast & Profitability Plan

Created based on real financial data, not just estimates.

Fully Set Up Financial Dashboard & KPI Tracking

With clear insights into cash flow, profitability & key financial drivers.

Weekly Email & Accountability Check-Ins

To track progress & keep momentum.

Who Is This For?

🔹 Business owners struggling with cash flow, debt, or declining profits.

🔹 Entrepreneurs who need financial structure, clarity, and a turnaround strategy.

🔹 Businesses that want to reset their finances before scaling or raising investment.

📌 Not sure if this is for you? Book a free call to discuss your situation.

PRICING

Choose Your Plan

Pay Upfront

£1495

  • Save £94

  • Get Started within 7 days

Payment plan

£1495

  • 3 month or 12 month options

  • Provided by IwocaPay

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