Let LBO work with you to prepare a detailed cash flow and budget analysis. Once implemented, these analyses can be used to set up payment schedules, credit and collection policies, inventory control, and management policies.

Our Services

Profit Improvement

Working closely with your management team in areas such as production, marketing, personnel, and management, LBO can conduct a study of your business operations and suggest ways to increase profits. The end result will be to develop solutions to any problem encountered and increase bottom-line profit.

Performance Measurement

Using standard industry-specific group performance statistics we can benchmark your company compared to the competition. This provides you with valuable and specific information in areas where your business may need improvement.

Projections, Cash Flows, and Forecasts

A function of profitability is the ability to project and forecast accurately. Cash flow management is a necessity. Management must consider both long-term & short-term implications of simple projections and complex financial modeling.