As businesses grow, cash management becomes a greater daily process. Our team provides consistent oversight of the cash management and banking process for businesses, including establishment of effective cash management processes, receivables management, compliance management, restructuring of financial arrangements and communication with the banking partner.
As businesses evolve, many take on additional debt, sometimes in the form of mezzanine debt or other subordinate debt arrangements. We have significant experience in working with these types of investors and managing these relationships. It is important in such arrangements for the business owner to understand these types of investors and carefully manage cash to meet these debt service needs.
Our team has strong banking relationships in the Baton Rouge community and works effectively between customers and banking partners to meet financing needs of the organization.