Driving Financial Discipline
At Lekshmi N Iyer & Associates, we help businesses proactively plan, track, and adapt their budgets and cash flow. Whether you’re forecasting growth or managing tight margins, our process enables smarter financial decisions and peace of mind.
Designed for financial visibility and planning
We tailor financial models that reflect your operations, priorities, and constraints—while staying compliant with audit norms.
Why This Matters
Budgeting is not just an annual exercise—it’s a strategic tool. Poor cash flow is a leading cause of business distress. With our support, you gain clarity, control, and confidence in every financial move.
From reactive tracking to proactive financial clarity
-
Financial Diagnostic
Review current income, expenses, and liabilities. -
Model Structuring
Define monthly, quarterly, or project-wise budgets. -
Cash Flow Planning
Build inflow-outflow trackers, payment schedules, and buffers. -
Variance Monitoring
Set up reporting formats to compare planned vs. actuals. -
Training & Advisory
Support team understanding, adjustments, and real-time reviews.
What’s Included
Custom Budget Templates
Department-level, consolidated, or project-based.
Cash Flow Trackers
Interactive formats for daily/weekly/monthly cash position.
Compliance-Friendly Structuring
Ensures audit and statutory alignment.
Break-Even & Sensitivity Analysis
Model variations for what-if business scenarios.
Budgeting & Cash Flow Management FAQs
Common questions about income tax, compliance, and litigation support in India.
Is this useful for small businesses too?
Absolutely. Smaller businesses often benefit most from financial clarity and better resource planning.
Do I need software for this?
Not necessarily. We use tools like Excel or your existing ERP/accounting platform to create budgeting systems.
How often should I update my budgets?
Ideally, monthly reviews and quarterly adjustments help stay aligned with changing realities.
Can I track cash flow in real-time?
Yes. We build trackers that you or your team can update easily and monitor ongoing liquidity.