Do you want to release cash to fund business growth?
KPMG helps its clients to achieve an efficient working capital position and facilitate release of cash to fund additional growth initiatives. An efficient working capital management programme includes; robust systems, streamlined processes and management rigour with respect to costs and controls resulting in release of cash. We help clients in improving their cash operating cycles by reducing float in various finance processes and by building frameworks for effective cash forecasting
KPMG’s 360 degree framework to optimise working capital
What is in it for you
- Facilitate additional growth with existing working capital
- Optimisation of the company’s cash
- Procurement, accounts payable, inventory, and collection process improvement
- Reduce debt exposure and manage cost of capital
- Improved visibility and reliability of information and establishment of continuous control.