Stabilise by determining Cash Flow demands, strengthening the Balance Sheet and lowering the break-even point

When the COVID-19 lockdown regulations unexpectedly disrupted ‘receipts’, whilst leaving ‘disbursements’ unscathed, business focus rapidly shifted to ensuring healthy operating liquidity.

Why the sudden drive for Liquidity and how do we respond?

For further information please contact Linda Bertolissio or Riina Rintanen.