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Launching October 5, 2026

BusinessWiser™ Cash Flow Accelerator Program

Independent Executive Analysis + Complete Cash Flow Mastery System

 

Stop Guessing What's Driving Your Cash Flow.

Understand What's Really Happening.
Then Get the Complete System to Improve It.

 

Most owner-led businesses don't struggle because they lack sales.

They don't struggle because they lack profit.

And they certainly don't struggle because they aren't working hard enough.

 

They struggle because it can be difficult to see how everyday business decisions are affecting cash flow until the financial consequences have already appeared.

 

Inventory quietly grows.

Receivables slowly stretch.

Margins change.

Working capital tightens.

Growth begins requiring more cash than expected.

And a business can become more profitable while simultaneously becoming more cash intensive.

 

By the time cash-flow pressure becomes visible...

The financial drivers behind it may have been developing for months.

 

That's why adding another spreadsheet rarely solves the problem.

Looking at another financial statement rarely provides the complete answer.

And a generic business course can't tell you what's actually happening inside your business.

 

You first need clarity.

 

Not assumptions.

Not opinions.

Not generic answers.

 

You need an independent executive analysis that connects profitability, working capital, cash generation, growth, capital requirements, and financial flexibility to reveal:

 

What's strengthening your cash flow.

What's constraining it.

Where meaningful opportunities may exist.

And which financial drivers deserve management attention first.

 

Only then can you make better-informed decisions about where to focus.

 

That's why we created the BusinessWiser™ Cash Flow Accelerator Program.

 

First We Analyze Your Business.

Then You Get the Complete System to Improve It.

 

Most business improvement programs begin by handing you tools.

We believe there's a better place to start.

 

Before deciding what to improve, you should understand what's actually driving your financial performance.

 

That's why the Cash Flow Accelerator Program combines two powerful components into one integrated solution.

 

Phase One

An independent executive analysis of your business using the complete CASHfloWiser™ methodology.

 

You'll receive a comprehensive assessment showing how your business is generating and consuming cash, where cash may be constrained, what's driving your cash-flow performance, and where the most meaningful opportunities for improvement may exist.

 

The analysis also identifies the financial significance of those opportunities, the strengths worth protecting, and the issues that deserve management attention first.

 

Where potential opportunities can be quantified from the financial data, you'll see their financial sensitivity and appropriate reference scenarios—without turning mathematical potential into promised results.

 

Then...

 

Phase Two

You receive the complete BusinessWiser™ Cash Flow Mastery System.

 

Not a limited version.

Not selected templates.

The complete system.

 

Now, instead of approaching the system wondering where to begin...

 

You'll have a clear set of 90-day management priorities grounded in the analysis of your business.

You'll understand which financial drivers deserve attention.

You'll know which strengths should be protected.

You'll know which potential opportunities warrant further management investigation.

 

And you'll have the BusinessWiser™ frameworks, tools, reporting, forecasting, planning, and management disciplines designed to help you understand, monitor, manage, and improve those drivers.

 

Instead of starting with tools and searching for the problem...

You start with the analysis—and use the system with purpose.

 

Five Executive Questions Every Owner Should Be Able to Answer

Every business owner receives financial statements.

Very few receive the answers they actually need to make better business decisions.

 

Your income statement reports what happened.

Your balance sheet reports what exists.

 

Neither fully explains why your business is generating—or consuming—cash.

Neither tells you whether growth is strengthening your financial position or creating additional cash and funding requirements.

Neither shows you clearly where cash may be constrained.

And neither connects the financial results across the business to show management what deserves attention first.

 

The BusinessWiser™ Cash Flow Accelerator Program was designed to answer those questions.

 

Because before you improve cash flow...

You first need to understand it.

Question 1

Is My Business Actually Generating Cash—or Simply Reporting Accounting Profit?

Profit and cash flow are not the same.

 

A profitable business can still experience significant cash-flow pressure.

 

Our independent executive analysis goes beyond accounting profit to examine the relationship between Operating Profit, working capital, Operating Cash Flow, Free Cash Flow, and funding requirements.

 

This reveals how effectively your business is converting stronger operating performance into actual cash—and where that conversion may be breaking down.

 

Question 2

Am I Unknowingly Growing Broke?

Growth should strengthen a business.

But growth can also require substantial additional investment in inventory, receivables, operations, and working capital.

 

The result can be a business that is growing revenue and profit while simultaneously consuming cash and increasing its need for financing.

 

Our analysis examines the relationship between growth, profitability, working capital, Marginal Cash Flow, and funding requirements to determine whether your current financial structure allows growth to generate cash—or requires additional cash to support it.

 

This helps management understand the complete relationship:

Growth → Profit → Working Capital → Cash Requirement → Funding Requirement

 

Question 3

Where Is Cash Being Constrained Inside My Business?

For many product-based businesses, substantial amounts of cash are committed to:

Inventory.

Accounts receivable.

Working capital.

Capital investment.

 

The challenge isn't simply knowing that cash is tied up in the business.

It's understanding where cash requirements are increasing, what is driving those financial changes, and where meaningful opportunities for improvement may exist.

 

Our analysis identifies those areas and, where supported by the financial data, quantifies their cash-flow sensitivity and potential financial significance.

 

Importantly, mathematical opportunity is not presented as guaranteed improvement. Management must ultimately determine what is operationally achievable.

 

Question 4

How Fast Can My Business Safely Grow?

Growth without adequate cash flow can create significant financial pressure.

 

Most businesses evaluate growth primarily through revenue and profitability. But profitable growth can still require substantial additional cash.

 

Using the CASHfloWiser™ methodology, we examine how growth interacts with margins, working capital, Marginal Cash Flow, capital requirements, and funding capacity.

 

This provides management with a clearer understanding of the financial conditions necessary to support future growth—and whether additional growth is likely to strengthen or increase pressure on financial flexibility.

 

Question 5

Which Business Drivers Are Strengthening—or Weakening—Cash Flow?

Every important business decision eventually affects cash flow.

 

Pricing.

Inventory.

Purchasing.

Receivables.

Operating costs.

Capital investment.

Growth.

 

Some strengthen financial performance.

Others can increase cash requirements even while revenue and profit are improving.

 

Our CASHfloWiser™ analysis connects these financial drivers across the business to distinguish strengths worth protecting, constraints requiring attention, potential opportunities, and areas requiring further management investigation.

 

The result is greater clarity about what is driving cash-flow performance, why it matters financially, and which issues deserve management attention first.

 

Better Answers Lead to Better Decisions

Most owners already have the determination to build a successful business.

 

What they often lack is the visibility needed to understand what's driving cash flow and confidently prioritize where management attention can have the greatest financial impact.

 

That's exactly what the BusinessWiser™ Cash Flow Accelerator Program provides.

 

First, we identify what the analysis reveals—your strengths, constraints, potential cash-flow opportunities, and highest-priority areas for management attention.

 

Then you receive the complete BusinessWiser™ Cash Flow Mastery System to help you understand, monitor, manage, and improve the financial drivers behind those priorities.

 

Phase One

Your Independent Executive Cash Flow Analysis

 

Every business is different.

 

That's why the first step isn't handing you another management system.

The first step is understanding your business.

 

Using two consecutive years or two consecutive quarters of your financial statements, we'll perform an independent executive analysis using the same CASHFLOwiser™ methodology included within the BusinessWiser™ Cash Flow Mastery System.

 

Rather than simply reviewing financial statements, we evaluate how cash actually moves through your business, where opportunities exist, and which management decisions are having the greatest impact on financial performance.

 

The result is a practical executive assessment that becomes the foundation for every improvement that follows.

 

Your Executive Cash Flow Opportunity Analysis

You'll receive a comprehensive executive report developed specifically from your company's CASHfloWiser™ analysis.

 

The report goes beyond individual ratios and financial metrics. It connects the relationships between profitability, working capital, cash generation, growth, capital requirements, and financial flexibility to help you understand not only what happened—but why it matters to the business.

 

Rather than overwhelming you with accounting detail, the analysis focuses on the financial relationships, opportunities, risks, and priorities most important to management.

 

Your report includes:

Executive Cash Flow Assessment

A concise, integrated assessment of your company's overall cash-flow performance—including its most important strengths, constraints, opportunities, and management priorities.

 

The objective is to answer a fundamental question:

 

What is really driving the company's cash-flow performance?

 

Profitability & Economic Performance

Strong cash flow begins with strong business economics.

We'll evaluate revenue growth, gross profit, margins, operating profit, overhead performance, and related trends to determine how the underlying economics of the business are changing.

 

Just as importantly, we'll distinguish between profitability issues and cash-conversion issues so management can focus on the right problem.

 

Profit-to-Cash Conversion

Profit and cash flow are not the same thing.

We'll trace the relationship between your operating performance and actual cash generation to identify where stronger—or weaker—profitability is translating into cash and where that conversion is breaking down.

 

This helps explain one of the most important questions facing many business owners:

If we're profitable, where is the cash going?

 

Quality of Cash Flow

Not all cash-flow changes mean the same thing.

 

We'll evaluate how cash is being generated, consumed, invested, and funded and identify the financial drivers behind the most significant changes.

 

Importantly, the analysis distinguishes what the financial data establishes from what requires further management investigation. It does not automatically label increased investment in inventory, receivables, growth, or other areas as waste or inefficiency without supporting evidence.

 

Working Capital & Cash Conversion Cycle

For many product-based businesses, working capital represents one of the largest demands on cash.

 

We'll analyze receivables, inventory, payables, working-capital days, and working-capital intensity to determine how effectively the business is converting operating activity into cash.

 

Where meaningful opportunities appear to exist, we'll quantify their financial sensitivity and potential cash impact while clearly distinguishing mathematical opportunity from what management can realistically achieve.

 

Growth & Sustainable Funding

Growth can increase profit while simultaneously consuming cash.

We'll evaluate the relationship between growth, margins, working capital, Marginal Cash Flow, and funding requirements to determine whether the company's current financial structure supports continued growth.

 

The analysis helps management see the complete relationship:

Growth → Profit → Working Capital → Cash Requirement → Funding Requirement

 

That provides a much clearer picture of whether growth is strengthening financial flexibility—or increasing financial pressure.

 

Capital Flow & Financial Flexibility

We'll examine how the business is funding its operations and growth, how capital is being deployed, and how those decisions affect Free Cash Flow, debt requirements, interest coverage, and overall financial flexibility.

 

The objective isn't simply to determine where capital came from and where it went.

It's to understand how operating performance, cash generation, investment, and funding interact.

 

Cash Flow Opportunity Analysis

Potential opportunities are evaluated carefully rather than simply added together into a large headline number.

 

The analysis distinguishes among:

  • Diagnosed potential cash-flow opportunities

  • Financial sensitivities and leverage points

  • Cash-supporting strengths worth protecting

  • Areas requiring additional management investigation

 

Where the financial data supports quantification, we'll show the potential cash-flow sensitivity and appropriate reference scenarios.

 

But a mathematical sensitivity is not presented as a guaranteed result, forecast, or promise.

 

This provides management with a more credible basis for deciding where attention may produce the greatest financial benefit.

 

Power of Seven™ Financial Leverage Analysis

Not every business decision has the same financial impact.

 

Power of Seven™ evaluates the sensitivity of cash flow and profitability to changes in key business drivers such as pricing, volume, cost of goods sold, overhead, receivables, inventory, and payables.

 

The analysis helps reveal where financial leverage exists—and, importantly, where a decision that improves profit may have a very different effect on cash flow.

 

These sensitivities are used to inform management decisions, not automatically treated as improvement opportunities.

 

90-Day Management Priorities

The analysis concludes by identifying the highest-priority areas deserving management attention over the next 90 days.

 

Rather than producing a generic list of recommendations, each priority is grounded in the company's CASHfloWiser™ analysis and considers:

  • Why the issue matters

  • Its potential financial significance

  • What management needs to investigate, improve, monitor, or protect

  • What additional information may be needed before establishing a target

  • Which BusinessWiser™ framework or management discipline can help address the underlying driver

T

he 90-day period represents a management-focus horizon—not a promise that every potential financial benefit will be realized within 90 days.

 

Connecting Analysis to Management Discipline

The report doesn't stop with identifying financial issues.

 

Where appropriate, each priority is connected to the relevant BusinessWiser™ Cash Flow Mastery System framework, reporting mechanism, forecasting process, or management discipline designed to help management understand, monitor, plan for, improve, or control that particular cash-flow driver.

 

These connections are specific to the issue identified—not promotional add-ons to the report.

 

By the Time Your Analysis Is Complete, You'll Understand:

  • Where your business stands financially

  • What is driving its cash-flow performance

  • What the business is doing well

  • Where cash is being consumed or constrained

  • Where meaningful cash-flow opportunities may exist

  • How growth is affecting cash requirements and funding

  • Which issues deserve management attention first

  • What still requires management investigation

  • Which BusinessWiser™ tools and disciplines can help address those priorities

 

The objective isn't simply to produce another financial report.

 

It's to give management a clearer understanding of how business performance becomes cash flow—and where better decisions can create greater financial flexibility and more options.

 

More Than a Report

Most financial reviews end when the report is delivered.

 

Ours is only the beginning.

 

Your Executive Cash Flow Opportunity Analysis identifies the strengths to protect, constraints requiring attention, potential opportunities, and highest-priority areas for management focus over the next 90 days.

 

Those priorities are then connected to the relevant components of the BusinessWiser™ Cash Flow Mastery System you'll receive as part of the program.

 

That means the analysis doesn't simply tell you what deserves attention.

 

You'll also have the frameworks, tools, reporting, forecasting, and management disciplines designed to help you understand, monitor, manage, and improve the financial drivers behind those priorities.

 

Instead of receiving a report that sits on a shelf...

You'll receive a management system designed to help you put the insights into practice.

 

And that's where the second phase of the BusinessWiser™ Cash Flow Accelerator Program begins.

 

Phase Two

The Complete BusinessWiser™ Cash Flow Mastery System

 

A traditional consulting engagement usually ends when the report is delivered.

The BusinessWiser™ Cash Flow Accelerator Program is different.

 

Your Executive Cash Flow Analysis identifies exactly where your greatest opportunities exist.

The BusinessWiser™ Cash Flow Mastery System gives you the complete operating system to improve them.

 

Instead of asking...

"Now what?"

 

You'll already have everything you need to move forward with confidence.

 

Every recommendation contained within your Executive Analysis connects directly to one or more BusinessWiser™ implementation frameworks.

 

That means you're not simply receiving advice.

You're receiving a practical management system designed to help you turn those recommendations into measurable business improvements.

 

Your Complete BusinessWiser™ Cash Flow Mastery System Includes:

 

Six Integrated BusinessWiser™ Frameworks

The six core frameworks provide the management disciplines for understanding cash flow, identifying its drivers, anticipating future requirements, establishing priorities, strengthening financial awareness, and building long-term business value.

 

CASHFLOwiser™

The executive financial command center used throughout your analysis. After the engagement, it becomes your ongoing financial intelligence system for monitoring cash flow performance, measuring improvement, and maintaining greater financial visibility.

 

DRIVERwiser™

Transforms the findings from your Executive Analysis into focused management priorities, helping leadership concentrate on the operational improvements most likely to strengthen cash flow and improve business performance.

 

FORECASTwiser™

Provides structured daily, weekly, quarterly, and annual cash flow forecasting models that help leadership anticipate future cash requirements, reduce financial surprises, and make more confident business decisions.

 

PLANwiser™

Converts your Executive Analysis into a disciplined 90-day implementation process through structured planning tools, quarterly priorities, and the Business Optimizer Loop—turning recommendations into measurable action.

 

CULTUREwiser™

Helps embed cash flow awareness and financial stewardship throughout the organization, encouraging consistent decision-making that supports stronger financial performance and long-term business success.

 

VALUEwiser™

Helps leadership understand how stronger cash flow, disciplined operations, and better business decisions contribute to higher enterprise value and greater long-term owner wealth.

 

Supporting Management Tools

The six frameworks are supported by practical management tools that help leadership turn BusinessWiser™ principles into an ongoing management discipline.

 

REPORTwiser™

Provides executive dashboards, scorecards, and structured reporting tools that help leadership monitor progress, measure improvement, and maintain accountability for the initiatives that matter most.

 

GROwiser™

Builds on your Sustainable Growth Assessment to help leadership evaluate growth opportunities, recognize the warning signs of “Growing Broke,” and ensure expansion remains aligned with the business's ability to generate cash.

 

MEETINGwiser™

Provides structured monthly, quarterly, and annual executive meeting agendas that improve communication, strengthen accountability, and keep leadership focused on the priorities identified during your Executive Analysis.

 

Together, the six frameworks and three supporting management tools help move the Cash Flow Mastery System from analysis and insight into ongoing management practice, disciplined execution, and continuous improvement.

 

Why This Program Creates Immediate Value

Every business owner eventually faces two important questions.

 

Where should I focus first?

And once I know, how do I manage it better?

 

Most business solutions address only part of the challenge.

 

Financial reports provide numbers but rarely connect them to the underlying cash-flow drivers.

Software provides data but doesn't necessarily tell you what deserves management attention first.

Training programs teach concepts but aren't built around an analysis of your specific business.

 

The BusinessWiser™ Cash Flow Accelerator Program takes a different approach.

 

First, we independently analyze your business using the BusinessWiser™ CASHfloWiser™ methodology to identify what's driving cash-flow performance—your strengths, constraints, potential opportunities, and highest-priority areas for management attention.

 

The analysis connects profitability, working capital, cash generation, growth, capital requirements, and financial flexibility to provide a more complete understanding of how your business is actually generating and consuming cash.

 

Then, you receive the complete BusinessWiser™ Cash Flow Mastery System, giving you the frameworks, executive tools, reporting, forecasting, planning, and management disciplines designed to help you understand, monitor, manage, and improve the financial drivers behind those priorities.

 

You're not simply receiving a financial analysis.

And you're not simply receiving a collection of tools.

 

You're receiving an integrated process that begins by understanding what's happening inside your business—and then gives you a management system for doing something about it.

 

The objective is greater visibility, better decisions, stronger cash flow, and greater financial flexibility.

 

That's what makes the BusinessWiser™ Cash Flow Accelerator Program different.

 

The Result

Instead of wondering where to begin...

You'll know what deserves your attention first.

 

Instead of trying to improve everything...

You'll have a clearer understanding of which financial drivers matter most.

 

Instead of looking at profit and cash flow as separate financial results...

You'll understand how profitability, working capital, growth, cash generation, and funding interact.

 

And instead of reacting to cash-flow pressure after it appears...

You'll have the tools and management disciplines to make cash flow more visible, more deliberate, and more manageable.

 

Because the strongest businesses don't simply monitor cash flow.

They understand what creates it.

And they build management disciplines around the decisions and financial drivers that shape it.

 

That's exactly what the BusinessWiser™ Cash Flow Accelerator Program was designed to help you accomplish.

 

Is the BusinessWiser™ Cash Flow Accelerator Program Right for You?

The BusinessWiser™ Cash Flow Accelerator Program was designed specifically for owner-led product businesses that want greater financial visibility, stronger cash flow, and a more disciplined approach to managing growth.

 

It is ideally suited for companies operating in:

  • Manufacturing

  • Wholesale & Distribution

  • Industrial Products

  • Consumer Packaged Goods (CPG)

 

Typically serving businesses with:

  • Approximately $2.5 million to $25 million in annual revenue

  • 11 to 200 employees

 

This program is an excellent fit for owners who want to:

  • Better understand the financial drivers of their business.

  • Identify where cash is being created, consumed, and trapped.

  • Improve working capital and strengthen cash flow.

  • Build a more disciplined management system.

  • Support sustainable, profitable growth.

  • Increase long-term enterprise value.

  • Implement practical business systems without becoming dependent on ongoing consulting.

 

This Program Is Probably Not the Right Fit If:

  • You're a startup or pre-revenue business.

  • You're a solopreneur or independent consultant.

  • Your business is primarily service-based with little or no inventory.

  • You're looking for tax, audit, bookkeeping, or investment advice.

  • You're searching for a quick fix rather than a structured management system.

  • You're unwilling to implement meaningful operational improvements.

 

Built for Businesses Ready to Improve

The BusinessWiser™ Cash Flow Accelerator Program isn't designed for every business.

 

It was intentionally built for owner-led product businesses that recognize stronger cash flow doesn't happen by accident.

 

It happens when leadership has better visibility, makes better decisions, and consistently executes against the opportunities that matter most.

 

If that describes your business, we believe this program can provide practical insights, meaningful direction, and the complete implementation system needed to help you build a stronger, healthier, and more valuable company.

 

Your Investment

BusinessWiser™ Cash Flow Accelerator Program

Independent Executive Analysis + Complete Cash Flow Mastery System

One-Time Investment: $1,495

Your investment includes:

Independent Executive Analysis

  • Comprehensive Executive Cash Flow Analysis of your business

  • Detailed strategic executive report

  • Cash Flow Reality Check

  • Quality of Cash Flow Assessment

  • Working Capital Analysis

  • Sustainable Growth Assessment

  • Power of Seven™ Opportunity Analysis

  • 90-Day Executive Action Plan

  • 60-minute Executive Strategy Review

 

Complete BusinessWiser™ Cash Flow Mastery System

Permanent access to the complete BusinessWiser™ implementation system, including:

  • CASHFLOwiser™

  • DRIVERwiser™

  • FORECASTwiser™

  • GROWwiser™

  • PLANwiser™

  • REPORTwiser™

  • MEETINGwiser™

  • CULTUREwiser™

  • VALUEwiser™

 

Including the Excel workbooks, executive dashboards, implementation guides, user guides, planning resources, and supporting documentation that enable you to continue strengthening cash flow long after the initial analysis has been completed.

 

More Than a Financial Review

Most financial reviews tell you what happened.

This program helps you understand why it happened.

 

More importantly...

It provides the complete operating system to improve what happens next.

 

Instead of receiving recommendations you must figure out how to implement...

You'll receive practical tools designed to help you implement them yourself.

 

The analysis provides the clarity.

The BusinessWiser™ Cash Flow Mastery System provides the structure.

 

Together, they create a practical executive management system that helps you make better decisions, strengthen cash flow, and create more options.

 

One Investment.

One Analysis.

One Complete Management System.

 

No subscriptions.

No recurring licensing fees.

No ongoing consulting dependency.

J

ust one practical executive operating system designed to help you better understand your business, improve financial performance, strengthen cash flow, and build a more valuable company.

 

Simple 6-Step Process

The BusinessWiser™ Cash Flow Accelerator Program has been designed to be straightforward, efficient, and respectful of your time.

 

From initial data submission to delivery of your complete BusinessWiser™ Cash Flow Mastery System, the entire process is typically completed within one week.

 

Step 1 — Confidentiality Agreement & Non-Disclosure Agreement

Before any financial information is exchanged, we'll execute a Confidentiality Agreement and Non-Disclosure Agreement (NDA) to ensure your sensitive financial information remains fully protected throughout the engagement.

 

Step 2 — Secure Financial Data Submission (Day 1)

You'll receive simple instructions along with a secure document checklist identifying exactly what is required.

In most cases, this consists of two consecutive quarters—or two consecutive years—of standard financial statements.

No special reports.

No complex preparation.

No disruption to your normal operations.

 

Step 3 — Preliminary Review & Engagement Confirmation

Before beginning the full analysis, we'll perform a preliminary review of your financial information to determine whether the BusinessWiser™ Cash Flow Accelerator Program is likely to provide meaningful value for your business.

 

If we believe the opportunity justifies moving forward, we'll notify you and issue your invoice for payment prior to beginning the full Executive Analysis.

 

If we don't believe we can provide meaningful value, we'll let you know.

 

Step 4 — Independent Executive Analysis (Days 2–5)

Using the complete BusinessWiser™ CASHFLOwiser methodology, we'll conduct a comprehensive executive analysis of your business.

 

This includes evaluating cash flow performance, working capital, sustainable growth, Quality of Cash Flow, and identifying the specific opportunities most likely to strengthen your financial performance.

 

Every recommendation is based on your company's financial information—not generic industry benchmarks.

 

Step 5 — Executive Report Delivery (Day 6)

You'll receive your completed Executive Cash Flow Analysis, including:

  • Executive Summary

  • Cash Flow Reality Check

  • Quality of Cash Flow Assessment

  • Working Capital Analysis

  • Sustainable Growth Assessment

  • Power of Seven™ Opportunity Analysis

  • 90-Day Executive Action Plan

The report is designed to provide practical executive insight—not simply financial analysis.

 

Step 6 — Executive Strategy Review & BusinessWiser™ System Delivery (Day 7)

We'll conclude the engagement with a 60-minute Executive Strategy Review to discuss the findings, answer your questions, and explain the priorities identified during the analysis.

 

Following the consultation, you'll receive permanent access to the complete BusinessWiser™ Cash Flow Mastery System, giving you the frameworks, tools, dashboards, implementation guides, and planning resources needed to begin executing your 90-Day Executive Action Plan immediately.

 

From Analysis to Action

Within approximately one week, you'll move from uncertainty to clarity.

 

You'll understand where your greatest cash flow opportunities exist, why they matter, and how to begin improving them using a practical executive operating system designed specifically for owner-led product businesses.

 

Because stronger businesses aren't built by guessing.

They're built by making better decisions.

And better decisions begin with better visibility.

 

Ready to Get Started?

Beginning the BusinessWiser™ Cash Flow Accelerator Program is simple.

 

Complete the brief form below to request our Confidentiality Agreement and Non-Disclosure Agreement (NDA).

 

Once the signed agreements have been returned, we'll provide instructions for submitting your financial information and complete a preliminary review to confirm the program is the right fit for your business.

 

If we believe the BusinessWiser™ Cash Flow Accelerator Program can provide meaningful value, we'll invite you to proceed with your Executive Cash Flow Analysis.

 

There is no obligation to move forward following the preliminary review.

 

Our objective is to ensure every engagement is a good fit—for both your business and BusinessWiser™.

 

Request Your Confidentiality Agreement

Please complete the brief form below:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Cash Flow Creates Options.

Every business has opportunities to strengthen cash flow.

 

The challenge is knowing where those opportunities may exist, which financial drivers deserve attention, and where management should focus first.

 

The BusinessWiser™ Cash Flow Accelerator Program helps you answer those questions through an independent executive analysis of your business—then provides the complete BusinessWiser™ Cash Flow Mastery System to help you act on what the analysis reveals.

 

Because stronger cash flow doesn't simply improve financial performance.

It creates greater financial flexibility.

And greater financial flexibility creates more options.

 

More options to invest.
More options to grow.
More options to reduce debt.
More options to navigate uncertainty.
More options to build a stronger, more valuable business.

 

That's why:

Cash Flow Creates Options.™

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