Accounting
Audit
Planning & Analysis
Process Solutions
Operations
Our Client Portfolio
Trusted by Growing Businesses
Expertise Accelerated is a CPA-led accounting and finance firm delivering comprehensive Financial Planning & Analysis services. Our team has delivered cash flow management support to more than 50 businesses across multiple industries, from early-stage startups managing runway to established companies navigating growth and seasonality.
We deliver institutional-grade forecasting and monitoring practices at every stage of business growth. Whether you are a founder tracking runway, a CFO managing liquidity, or a Controller monitoring working capital, we operate as a trusted extension of your team, leveraging budgeting and forecasting services to improve cash planning and financial decision-making.
Our goal is simple: clear cash visibility and confidence in your position.
US CPA Management Team
U.S. CPA-led teams delivering accurate, compliant, and reliable financial oversight.
Up to 60% Payroll Savings
Premium accounting services at significantly lower cost
U.S. Eastern Time Availability
Our accounting experts work U.S. Eastern Time, fully aligned with you.
QuickBooks & Xero Experts
Proven expertise in QuickBooks and Xero software.
Challenges
Many growing businesses reach a point where cash uncertainty creates friction rather than clarity.
If any of the following apply, it may be time to evaluate your current cash flow approach.
Our team can assess your current accounting function and identify the most impactful areas for improvement.
Services
Expertise Accelerated delivers full cash flow management for growing businesses at every stage of development. Below is an overview of the core support included in our engagements.
Every Expertise Accelerated cash flow engagement follows a structured, repeatable process designed to build clear visibility quickly and reliably.
Ready for Clear Cash Visibility?
Schedule a consultation with our CPA-led team to identify gaps, improve forecasting accuracy, and build a proactive cash flow management function.
Get Your Cash Flow AssessmentSpecialized Knowledge
Our cash flow support is specialized according to your industry.
Accounting Software and ERP Experience
We work across the major accounting and ERP platforms used by growing and mid-market businesses, delivering consistent professional standards within your existing technology environment.
Don't Just Take Our Word For It
Here is what makes Expertise Accelerated stand out from many accounting firms and forecasting providers in the market.
Let Us Help You Grow!
Partner to reduce your cost by 60% with assured quality!
Cash flow management means monitoring, forecasting, and controlling the timing of cash inflows and outflows to maintain healthy liquidity.
Engagements include forecasting, working capital monitoring, cash position reporting, and liquidity risk planning.
Most engagements begin within one to two weeks of the initial needs assessment, depending on complexity.
We work with QuickBooks Online, QuickBooks Desktop, NetSuite, Sage, SAP, Microsoft Dynamics, and Xero, among others.
Yes. We support businesses with multi-entity structures, including intercompany transactions and consolidated cash reporting.
Yes. We build forecasts that account for seasonal revenue swings and cyclical demand patterns.
It depends on your visibility needs. If you cannot project cash position weeks or months ahead, structured forecasting adds significant value.
Forecasts are commonly built on a rolling thirteen-week or monthly basis, depending on business needs.
Outsourced cash flow management avoids the cost of building an internal treasury function while providing structured, consistent forecasting.
We assess your systems, historical data, and business drivers to build a forecast tailored to your operations.
Yes. We identify opportunities to improve collection timing, payment terms, and inventory levels that affect cash.
Most engagements are structured around monthly or project-based rates tied to the scope of the work.
Yes. We help businesses plan cash needs around hiring, expansion, and capital investment decisions.
We serve Consumer Packaged Goods, manufacturing, retail, wholesale, e-commerce, professional services, restaurant and food service, and real estate businesses, among others.
Bookkeeping records past transactions, while cash flow management forecasts and monitors future cash position and liquidity.
Yes. Clear forecasts and reporting strengthen conversations with investors and lenders around funding needs.
Yes. We structure engagements as ongoing monitoring, periodic review, or one-time forecast projects based on your needs.
If your business needs clear cash visibility, liquidity forecasting, and working capital management, our CPA-led team can assess your current finance function, identify the gaps, and build a proactive plan for cash stability.
Share your details and our team will get back to you.