Budget, Forecasts, Cash Management
tempCFO Solutions relieves upper management of time-consuming financial and accounting responsibilities, enabling your company's leaders to concentrate on core competencies. We provide expertise and experience for each step you need to take.
tempCFO develops budgets, forecasts, and cash management strategies that help senior management and the board of directors make well-informed business decisions that are "right on the money."
tempCFO has the experience and capacity to negotiate debt financing and assist in capital raising. This service can extend your cash burn rate, allowing you to meet and surpass management and investor milestones. tempCFO can handle the financing process from start to funding:
“Peace of Mind" Financial Processes
Our team can implement policies and procedures to provide you with essential controls over your company's assets. We can also play an active role in selecting and implementing accounting information systems.
tempCFO services ultimately provide you:
- A clear vision of cash burn
- Strategies for managing cash more effectively and efficiently
- Milestone-driven schedule for raising capital
- Realistic, achievable process for benchmarking management's plan and investor expectations
Service Options: Outsourced Senior Financial Management