Your operating costs may have crept up over time, or your cash conversion cycle is squeezing liquidity. You need to rapidly identify savings and release cash without harming the core business.
Inefficient spending and trapped working capital reduce your ability to invest in growth and can threaten solvency in downturns. Ignoring these leaks erodes margins and weakens your balance sheet resilience.
We perform a forensic analysis of your spend data and working capital cycles (receivables, payables, inventory). We identify quick wins and structural changes, validating them with functional leads to ensure deliverability.
You realise immediate cash release and sustainable EBITDA improvement through targeted cost-out initiatives. Your balance sheet is strengthened, providing the fuel needed for future investment or debt reduction.