Frak Finance

Cash Flow Management

Get cash visibility you can actually run the business on. At Frak Finance, we keep your business solvent and scaling.

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Where did you hear about us?

Treasury Payment
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Compliance

Built for secure disbursements

13-Week Cash Flow Models

Short-term liquidity planning systems

DSO Reduction Strategies

Accelerating customer payment cycles

Burn Rate Monitoring

Startup runway planning controls

Recognized by the best

Our Featured Clients

What leadership teams say about working with Frak Finance.

Cash You Can Plan On

A 13 Week Cash Flow Model for Payroll, Payables, & Real Planning

A real cash flow management service shows you what’s coming in, what’s going out, and what’s left, thirteen weeks ahead of every decision. At Frak Finance, we build the model that puts that picture in front of you every Monday.

Rolling 13-week cash flow forecast (updated weekly)
Weekly cash position summary with variance commentary
Working capital analysis (AR/AP aging, inventory cycles)
Capital-raise-ready cash flow packages (when applicable)
Cash Flow Management Service
Scenario Models
Cash Runway Projections
Seasonal Cash Planning

What Our Cash Flow Management Services Cover

Cash flow management isn’t a single report. It’s a system forecasting, controls, scenario planning, and ongoing monitoring that gives you real-time command over every dollar entering and leaving your business. Here’s what we build for you.

Talk to a Cash Flow Specialist

1. Cash Flow Forecasting (Including 13-Week Model)

Consistent transaction recording, journal entries, and financial statement preparation on a cadence that matches your business rhythm. No backlog. No surprises at quarter-end.

2. Liquidity & Working Capital Management

Every account reconciled accurately and on time catching discrepancies, duplicate charges, and errors before they compound into costly misstatements.

3. Cash Controls & Approval Workflows

Proper revenue recognition aligned to your billing cycles, contracts, and industry standards. Paired with accounts receivable tracking to keep cash flowing in on schedule.

4. Cash Runway & Scenario Modeling

Your cost of goods sold and operating expenses categorized correctly so your margins are real, your P&L is trustworthy, and your tax position is optimized.

5. Operating Cash Flow Management

Managing multiple LLCs, subsidiaries, or business lines? We consolidate and maintain clean books across entities so you see the full picture without the confusion.

6. Cash Flow From Investing Services

Accurate inventory tracking, cost-layering methods (FIFO, weighted average), and valuation reporting so your balance sheet reflects what’s actually on the shelf.

Outsource Cash Flow Management Services Without Losing Financial Control

Here’s how your 13 week cash flow model gets built:

We Map How Cash Actually Moves

Frak Finance delivers monthly financial statements that are accurate, categorized correctly, and closed on a reliable cadence. When your books are clean, every decision from hiring to marketing spend to inventory purchases is backed by numbers you trust. That’s the visibility that turns financial data into a management tool.

We Pull The Live Numbers

At $1M, you need accurate transaction recording and clean reconciliations. At $5M, you need multi-entity consolidation and proper revenue recognition. At $15M+, you need a full accounting function. Frak Finance scales the service to match your stage so your financial infrastructure always keeps pace with your growth.

We Build The 13 Week View

Frak Finance delivers CPA-ready tax packages, lender-compliant financial statements, and investor-grade reporting. When stakeholders open your financials, they see accuracy, structure, and professionalism which builds confidence, reduces prep time, and positions your business favorably for whatever comes next.
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Faster AR processing through automated invoicing & payment workflows

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Improved liquidity planning using rolling short-term forecasting models

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Trust account oversight supporting fiduciary cash management compliance

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Reduced payment fraud exposure through internal financial control systems

A Smarter Way to Manage Cash Flow Without Stretching Your Team

Business Cash Flow Management Services for Owners Who Need the Full Picture

Revenue-Positive,

Your P&L looks healthy but your bank account doesn’t agree. You need someone who can trace the disconnect between profit and cash, usually hiding in working capital, payment timing, or growth investments. If revenue is growing but liquidity isn’t, that’s exactly the problem we solve.

$1M–$50M

Our clients range from early-stage to mid-market businesses with complex multi-entity structures and seasonal volatility. Whether you need a foundational 13-week model or advanced scenario planning for a capital raise, the service scales to your stage.

Seasonal or Cyclical Businesses

Construction, retail, professional services, ecommerce, if your business has months where cash gets tight every single year, you don’t need to just survive those periods. You need to plan for them. We’ve built cash models for every seasonal pattern there is.

Approaching a Capital Event

If you’re raising debt or equity, pursuing a line of credit, or preparing for a sale, your cash flow forecast is the first thing a lender or buyer examines. We build the projections, stress-test the scenarios, and deliver the financial package that makes your capital story credible.

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Professional Services Cash Flow Management
for Firms With Moving Targets

We help you track cash coming in, cash going out, payment timing, payroll needs, vendor obligations, and upcoming shortfalls.

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13 Week Cash Flow Model

A rolling weekly view of cash in, cash out, and runway. Refreshed every Monday, variance flagged.

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Customer & Vendor Risk

Concentration, payment behavior, and the accounts that are quietly shaping your cash position.

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Working Capital Dashboard

Days sales outstanding, days payable outstanding, the cycle in motion, and where capital is tied up.

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Covenant Reporting Pack

Ratios, headroom, and commentary the lender expects. Ready to send to capital without rework.

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Case Studies

Our Featured Projects

Real cash flow results from real engagements.

INDUSTRIES WE SERVE

Partnering with Businesses Across Every Sector

Every industry has its own cash cycle. We know the difference and build for yours.

Finance & Accounting Services For Manufacturing Industry - Frak Finance
Manufacturing
Finance & Accounting Services For Construction Industry - Frak Finance
Construction
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Hospitality
Finance & Accounting Services For Ecommerce Industry - Frak Finance
Ecommerce
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Electric
Finance & Accounting Services For Real Estate Industry - Frak Finance
Real Estate
Finance & Accounting Services For Logistics Industry - Frak Finance
Logistics
Finance & Accounting Services For Social Entertainment Industry - Frak Finance
Social Entertainment
Finance & Accounting Services For Law Firms - Frak Finance
Law Firms
Finance & Accounting Services For Doctors - Frak Finance
Doctors
Finance & Accounting Services For Marketing Agencies - Frak Finance
Marketing Agencies
Finance & Accounting Services For SAAS Industry - Frak Finance
SAAS

Plan Before Cash Gets Tight With Our Business Cash Flow Management Services

About Frak Finance
We’re Operators Turned CFOs Who Get What You’re Building

With over 20 years of experience, we’re the CFOs who’ve actually built, scaled, bought & sold businesses. Now we guide yours.

We are Always Dedicated to our Work
Are Leading Consultants that you can Trust
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Tom Dillon CFA Founder. Frak Finance
“Before you take on debt, ask one question: are you leveraging it for growth or for survival? That distinction changes everything.”
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— Tom Dillon, CFA

Founder, Frak Finance

Plan Around What Is Coming

Get Ahead of Payroll, Payables, and Slow Receivables

We help you see what cash is coming in, what is going out, and where pressure may build over the next 13 weeks, so you can make better decisions before problems become urgent.

Scaling, Acquiring, or Preparing to Sell? Let’s Talk.

Run Your Business on Numbers You Can Trust.

Looking to have a real conversation about your numbers? Book a call today to discuss the gaps standing between you and your goals.

A Strategy Call With Senior Leadership
Honest Read Of Where You Stand Financially
Clear Next Steps, Scoped To Your Situation

Call Us Support 24/7: (312) 685-1627‬

Call Us Support 24/7: (312) 685-1627‬

View All Consulting Office Locations

View All Consulting Office Locations

Schedule a Free Consultation

Where did you hear about us?

Frequently Asked Questions

The most common questions business owners ask before outsourcing their cash flow management.

What exactly is a 13-week cash flow model?
It’s a rolling, week-by-week projection of every cash inflow and outflow for the next 13 weeks. Unlike a P&L, which shows profit, a 13-week model shows actual cash movement when money arrives, when it leaves, and where gaps appear. It’s updated weekly as actuals replace projections, so it stays live and accurate. This is the standard tool lenders, investors, and boards use to evaluate cash health and it’s the most practical forecasting tool for any business managing real cash pressure.
How is this different from what my bookkeeper already does?
Your bookkeeper records transactions and closes the books. That tells you what happened. Cash flow management tells you what’s about to happen and what to do about it. We build forecasting models, working capital analysis, scenario planning, and cash controls that go well beyond the accounting close. Think of it this way: bookkeeping is the rearview mirror. Cash flow management is the windshield. Both are essential, but only one tells you where you’re going.
Can you help during a cash crisis or just for ongoing management?
Both. We’ve stepped into active cash crunches, seasonal downturns, lost clients, unexpected expenses and delivered near-daily cash monitoring to navigate through them. We’ve also built steady-state cash management systems for businesses that simply want better visibility and forward planning. The 13-week model works in both modes: crisis triage and proactive control.
What does pricing look like for cash flow management services?
It depends on the complexity of your cash structure, number of entities, revenue streams, seasonal patterns, and how often you need reporting. Engagements can start as focused as building a single 13-week model and scale into ongoing weekly monitoring with scenario analysis. We’ll scope it on the fit call. No rigid packages. No surprises.

Blogs & Insights

Cash flow thinking for founders who need answers.

— BUILT TO EXIT —

Monthly Finance Briefings to Grow, Acquire, or Exit Your Business

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Finance and accounting leadership for privately held businesses at every stage. Ready to see what the right financial partner changes? Get in touch with Frak Finance today.

Address Business
Chicago, IL
New York, NY
Ft. Myers, Florida
Mumbai, India
Manila, Philippines
Galway, Ireland
Contact With Us
Call Consulting: (312) 685-1627‬
Working Time
Mon - Fri: 9:00am - 5:00pm CST
Weekends: Closed