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Forecasts, Budgets & Cashflow

Accurate forecasts, budgets, and cashflow planning that help businesses prepare for the future, manage resources effectively, and avoid financial shortfalls.

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What This Service Covers:

Preparing financial forecasts for growth and investment planning.
Building budgets tailored to your business objectives.
Cashflow management to monitor income and outgoings.
Scenario planning to test different financial outcomes.
Regular reviews and updates to keep plans on track.

Why It Matters

Strong financial management is built on forward planning. Without accurate forecasts and budgets, businesses risk overspending, cash shortages, and missed opportunities. Clear projections not only guide day-to-day decision-making but also inspire confidence with investors, lenders, and stakeholders.

  • Poor planning can result in unexpected cash shortages.

  • Accurate budgets help keep costs under control.

  • Forecasts give confidence to lenders and investors.

  • Businesses with strong cashflow planning are more resilient.

  • Planning ahead supports better decision making.

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our approach

We work closely with you to develop realistic budgets, forecasts, and cashflow models tailored to your business. By analysing past performance and future goals, we create practical financial roadmaps that help you plan effectively. Our approach ensures you can anticipate challenges, allocate resources wisely, and stay in control of your growth.

We analyse your historic performance to build realistic forecasts.

Budgets are aligned with your short and long-term goals.

Cashflow is tracked and adjusted for seasonal or market changes.

We provide reports in plain language for clarity.

Ongoing support ensures your plans remain relevant.

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who its for

This service is ideal for business owners and directors who want to take control of their finances. From start-ups preparing to launch, to established companies planning for expansion or investment, our forecasts and cashflow solutions provide the clarity and confidence needed to make informed decisions.

  • SMEs seeking stronger control over finances.

  • Start-ups looking to raise funding or investment.

  • Directors planning for business growth.

  • Companies experiencing cashflow challenges.

  • Businesses preparing for long-term stability.

Three people engaged in a business meeting at a wooden table with documents and a calculator.

Service key benefits:

Greater confidence in financial planning.
Reduced risk of cash shortages.
Clear budgets to manage spending.
Forecasts that support funding applications.
Stronger resilience through better planning.

Frequently Asked Questions

  • Why are forecasts important?

    They help you plan for growth, funding, and future challenges.

  • Do all businesses need a budget?

    Yes, budgets are essential to keep spending aligned with income.

  • What is cashflow forecasting?

    It’s a projection of when money will come in and go out of the business.

  • Can you help if I already have cashflow problems?

    Yes, we can review your situation and create an action plan.

  • How often should forecasts be updated?

    At least annually, but quarterly updates are recommended for accuracy.