Business Advisory Services

At Camtech, our focus is on building a close client relationship and working with you hand in hand to add long-term value and productivity to your business, ultimately helping you to reach your financial goals.

Our experience shows, our clients benefit from an objective analysis to assist in controlling costs, increasing efficiency, evaluating financial procedures, implementing new technologies and procedures that take advantage of changes in the marketplace, accounting standards, and tax law and working to produce strategies that help our clients face the myriad of challenges facing businesses today.

Whether you are a Company, Partnership or a Sole Trader, Camtech can help you analyse your businesses performance and future direction.

Some of the consulting tools we use are ………

Business Analysis Package

At Camtech, we don’t just complete your tax returns and stop there, we also have a specially tailored and unique “Business Analysis package” not offered anywhere else.

This package takes the annual financial statements prepared and converts them into a financial analysis report, highlighting key ratios and performance indicators designed to give you the tools you need to see exactly how well your business has performed for the year in question.

Business Management Package

With our tailored Business Management Package, we take the Business Analysis Package one step further, by having a sit down meeting every three months, analysing the key ratios and performance indicators, setting goals for the next quarter and then checking the outcomes of the previous goals.

Financial Projections & Forecasts

No one can predict the future perfectly, but we can all benefit from planning for it. Our firm combines expertise and experience with an understanding of your business to produce financial projections that can help you manage your business plans and spending patterns. Depending on your needs, our work can range from top-level reports to detailed financial models.

Cash Flow & Budgeting

Good cash management can improve a company’s liquidity, reduce costs, and increase profitability. We can help you maintain optimal cash flow levels by tracking sources and uses, forecasting, and budgeting accordingly.