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Impairment Testing with Cash Flow Models

Impairment Testing: Protect Your Assets, Mitigate Risk

Supporting Your Success

Impairment Modelling

Are you confident in the carrying value of your assets? Do you have a robust process for identifying and accounting for impairment?

 

Our specialized impairment modeling services can help you:

  • Comply with Accounting Standards: Ensure compliance with IFRS and other relevant regulations.

  • Accurate Valuation: Accurately assess the recoverable amount of your assets, including tangible and intangible assets.

  • Early Warning: Identify potential impairment issues early on, allowing you to take corrective action.

  • Transparency: Provide stakeholders with transparent and reliable financial reporting.

 

Our comprehensive services include:

  • Expected Credit Loss (ECL) Modeling: Assess credit risk and expected losses for financial instruments.

  • Impairment Testing: Determine if the carrying amount of an asset exceeds its recoverable amount.

  • Valuation Support: Assist in valuing assets for impairment testing purposes.

  • Financial Reporting: Prepare disclosures related to impairment losses.

Cash Flow Management to Mitigate Risk of Impairment

Supporting Your Success

Cash Flow Risk Management

Is your business struggling with cash flow challenges? Do you need to make informed decisions about investments, debt,or dividends? Our expert cash flow management modeling services can help you:

  • Gain Visibility: Understand your cash flow patterns, identify bottlenecks, and optimize working capital.

  • Forecast with Confidence: Project future cash inflows and outflows, assess liquidity risks, and make informed decisions.

  • Drive Growth: Make strategic decisions about investments, financing, and capital allocation.

  • Enhance Financial Performance: Improve profitability, reduce costs, and maximize shareholder value.

Our tailored solutions include:

  • Cash Flow Forecasting: Accurate projections to anticipate future needs and opportunities.

  • Free Cash Flow Analysis: Evaluate your financial health and ability to generate value.

  • Working Capital Optimization: Streamline operations and improve liquidity.

  • Scenario Planning: Assess the impact of different business scenarios on your cash flow.

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