Cash Management

Cash Management

We work with businesses to improve their cash flows.

We work with businesses to improve their cash flows.

KPMG’s Cash Management team works with businesses to improve their cash flows in order to help reduce debt, fund growth, and deliver better returns to stakeholders.

Our involvement can help businesses preserve and generate cash, optimise working capital and enhance visibility over the level and timing of funding requirements.

Whether a business is facing a cash flow crisis or simply wants to improve its working capital cycle and cash flow, we can help in many ways, including through:

  • Developing robust cash flow forecasting processes and controls 
  • Analysing immediate and near-term funding requirements 
  • Stabilising cash flow and buying time for negotiation with stakeholders 
  • Identifying cash generation opportunities 
  • Reviewing working capital cycles and making recommendations to reduce the working capital requirements of the business
  • Driving improvements in debt collection 
  • Prioritising cash outflows 
  • Educating and embedding a cash culture within the organisation.

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At every stage in the business life cycle events may not go as expected.

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