Cash & Liquidity Management
At the Lindsey-Trost Group, we help you secure your liquidity needs and cash reserves for unforeseen expenses or drops in business revenue. By working to maximize your investment returns on your available cash and securing proper lines of credit, we aim to deliver the peace of mind needed for you to maintain and grow your business with confidence.
We help you:
- Manage your cash and liquidity needs
- Create a sustained cash flow
- Secure business lines of credit through third party services
- Create processes to efficiently collect receivables
- Customize your wealth management plan that is designed to help meet your business and personal goals