STEERING, 05Aut. 10077274 · 142 Boulevard de la Pétrusse, Luxembourg

Cash management in Luxembourg, anticipate cash, secure financing.

Cash management anticipates your inflows and outflows to avoid strain: cash forecast, working-capital monitoring, optimisation of payment terms and financing preparation.

In short

Cash management is the practice of forecasting, monitoring and optimising the liquidity flows of a company or group: short- and medium-term cash forecast, working-capital steering, management of surpluses and shortfalls, and bank relations.

Key takeaway

  • Cash is steered on a forecast, not just on today's balance.
  • Working capital is often the first cash lever in an industrial group.
  • A reliable forecast strengthens bank relations and negotiation.

Who this is for

  • Groups and holdings managing several accounts and currencies
  • Companies with significant working capital (inventory, receivables)
  • Businesses preparing an investment or financing
  • Owners wanting to secure payroll and key payment deadlines

What we do

  • Short- and medium-term cash forecast
  • Working-capital monitoring and optimisation
  • Multi-account and multi-currency centralisation
  • Preparation of bank and financing files
  • Liquidity dashboards and alerts

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Preparation checklist

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FAQ

Frequently asked questions

What is a cash forecast?
It is a projection of future inflows and outflows (weeks or months) that anticipates cash positions, identifies strain and informs financing decisions.
How can working capital be reduced?
By acting on customer terms, supplier terms and inventory turnover. We measure working capital and identify the priority levers.
Do you handle several currencies?
Yes. We centralise multi-account and multi-currency positions and monitor exposure, in coordination with your banks.
Is cash management part of CFO as a Service?
Yes, it is one of its key deliverables, alongside management reporting and consolidation.
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