Specialized financial support for regulated and high-growth businesses

Stronger control over the money moving in and out.

Structured payables, receivables and cash processes help improve working-capital visibility.

Day-to-day controlOrganize vendor obligations, customer balances and cash routines.

Stronger control over the money moving in and out.

Cash operations can become difficult to manage when bills, invoices and payments are handled across disconnected systems. FACTSTX helps create a clearer and more dependable operating rhythm.

Engagements may include

  • Vendor bill organization and payment schedules
  • Customer invoicing and receivables tracking
  • Aging reports and follow-up processes
  • Cash collection and deposit reconciliation support
  • Short-term cash commitments review
  • Workflow documentation and responsibility mapping
Discuss the current state of your financial process.We will help identify the most practical place to begin.
Book a Consultation

Build a more dependable financial operation.

01

Payment visibility

Know what is due, when and to whom.

02

Faster follow-up

Use organized receivables information to support collection.

03

Cash awareness

Connect obligations and incoming payments to near-term planning.

04

Operational discipline

Build repeatable routines around cash movement.

Put the right financial structure behind the business.

Share the challenge, the current systems and what leadership needs to understand more clearly.

Useful insight for complex businesses.

Receive practical guidance on bookkeeping, tax readiness, cash flow and financial controls.