Our services

Cash management & credit control

No more stress about not knowing your cash position?

With our “Cash management & credit control” service, we elevate your credit management to the highest standard, so that nasty cash surprises can be avoided.

  

Our services:

  • Simplify and digitise credit management processes

    • Analysis of debtors and current debtor policy

    • Optimization of the current accounts receivable policy & implementation of improved AP and AR follow-up processes

    • Set up periodic reporting based on which cash flows & working capital can be further optimized

  • Support in daily cash management & credit control

    • Follow-up on the payment of your invoices

    • Maintain open and professional communication with customers

    • Monitor an optimal cash position

    • Limit the debtor risk

    • Follow-up & reporting of KPI’s (such as working capital, DSO)

    • ...

  

How do we approach this?

  • In a short but intense period, we can provide you with the customised tools & process to perform your cash management

  • Depending on your specific needs, one of our Wave Group team members can join your team on a daily basis or for an agreed period, becoming an indispensable link.

  • You can always count on support from the extensive Wave Group network.

  

Feel free to make an appointment for an introductory meeting. We will be happy to discuss your needs and see how we can help you.

Contact us at +32 478 36 01 41 or info@wave-group.be.

Wave Group: Your partner for optimum cash flow.