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Cash Flow Management & Forecasting

Take control of your cash flow and plan ahead with confidence.

TaxSight helps Australian businesses track incoming and outgoing funds, manage upcoming commitments and make informed financial decisions.

Professional Cash Flow Management & Forecasting for Australian Businesses

Cash flow management tracks money moving in and out of your business, giving you a clear view of your actual financial position.

Cash flow forecasting helps Australian businesses identify potential shortfalls early and plan ahead, recognising that profit does not always mean cash is available.

Cash-Flow Analysis

Rolling Cash-Flow Forecasts

Budget Planning

Working-Capital Management

Revenue & Expense Forecasting

Cash-Flow Scenario Planning

Clear Cash Flow for Confident Business Planning

From cash-flow analysis and rolling forecasts to budgeting and working-capital management, TaxSight helps you anticipate shortfalls and make informed financial decisions.

Legacy Expertise
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Cash-Flow Expertise Across Industries

TaxSight provides industry-specific cash-flow management and forecasting services across transport and logistics, fuel stations, construction and trades, property development, real estate, healthcare, hospitality, e-commerce, technology and professional services.

Our approach reflects each sector’s particular cash-flow pressures, including volatile fuel costs, tight margins, staged payments, project billing, seasonal revenue, inventory funding and delayed customer payments.

Benefits of Professional Cash-Flow Management & Forecasting

Why Australian Businesses Choose TaxSight

TaxSight provides personalised, proactive accounting support tailored to each business, industry and goal. We serve clients across Australia and build long-term relationships based on trust, responsiveness and practical advice.

Accounting Advice Backed by Experience

Our team combines technical accounting knowledge with practical commercial thinking to deliver ethical, compliant and genuinely useful support.

Australia-Wide Support

Personalised service wherever you are

Trusted Expertise

Practical, compliance-focused advice

Frequently Asked Questions

Tracking, analysing and planning the money that comes in and goes out of your business so you know your financial position.

Predict your future cash position based on expected income and expenses, so that you can spot shortfalls before they happen.

Most Australian businesses should aim for a monthly refresh, but if you have a seasonal business you may need to check in more frequently.

Yes. A good forecast will tell you if your business can really sustain new employees, equipment or growth.

Yes to both. Whether you are a sole trader or a larger operation, if you’re in Australia, our cash flow management services in Australia, financial forecasting services in Australia and business cash flow planning in Australia are at your disposal.

Your latest financial reports, any outstanding invoices, expenses and details of any changes you are planning to make to your business.

Talk to Our Team

Don’t wait until the pressure’s on before you get on top of cash flow. Taxsight has over 20 years experience providing cash flow management services in Australia, cash flow forecasting services in Australia, business cash flow planning in Australia and financial forecasting services in Australia Australia-wide. Let’s create a forecast you can trust.

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