CASHFLOW MANAGEMENT

Have a look at our tips to improve your profitability and manage your cashflow

Effective business liquidity management helps you to generate cash quickly in the face of unexpected cash deficits.
The financial failure of others can hurt your business in surprising ways. Trade credit insurance can protect your enterprise against that risk.
There are several options and tools to mitigate credit risks. You should weigh the costs and benefits of these options and investigate carefully to determine the best fit for your company.
Do you have a protocol in place if one of your customers is struggling to pay? Check out this checklist to maximise the chances of getting your money back.

49 results

Mar 11, 2022

For energy-intensive firms, the heat is on

Business energy contracts renew in April or October, making them crunch months for firms with high energy usage. Businesses need to be prepared for customers to fail.

Feb 16, 2022

What is retention of title? A complete business guide

A business guide to the complex legal issue of retention of title. How can it help recover funds when a customer collapses?

Feb 15, 2022

January’s insolvency data: the start of a bad year

The first UK insolvency data of 2022 indicates no let-up in company failures. Euler Hermes’ David Smith explains why it is likely to get worse.

Jan 26, 2022 | Cash flow management

Be prepared for the springtime cash drought

Many businesses may run low on cash at the beginning of 2022, due to a long list of problems including a sharp rise in late payments. Cash flow forecasting is essential.

Jan 24, 2022

What does economic recovery in Ireland look like in 2022?

Expert insight on the Irish economy in 2022 and challenges SME businesses face going forward to avoid cashflow and insolvency risk.

Jan 21, 2022 | Cash flow management

Trade credit insurance: time to look at the big picture

Companies increasingly view trade credit insurance as an investment, not a cost, due the strategic advantages it can deliver.

Jan 07, 2022

Why restarting your business could be a challenge in 2022

Many companies will have to restart afresh. They will have to behave almost like start-ups, with the financial risks typical of a new comer. Read more !

Dec 08, 2021 | Cash flow management

How an ease of COVID restrictions increased the risk to your cash flow

The opening up of business poses unique risks to cash flow. Read how to forecast working capital problems and protect your company.

Dec 06, 2021

Identifying the signs of business insolvency

Are your supply chain trading partners an increased insolvency risk? Learn how to spot the insolvency warning signs.

Nov 24, 2021

Delivery fears as Santa hit by #logistics challenges

Santa’s decision to centralise manufacturing in a single global hub in Northern Lapland previously seemed a wise choice. However, amid the supply chain and other problems of late 2021, his business model is under strain.

49 results