Effective cash management is essential for maintaining financial control, improving liquidity, and supporting business growth.
At SGP Accountants, we help businesses access suitable corporate banking solutions and optimize their cash management processes, ensuring their financial resources are managed efficiently, securely, and strategically.

Corporate Account & Cash Management
What we do for you
-
Assist with corporate current and multi-currency account solutions.
-
Support access to online and mobile corporate banking services.
-
Advise on liquidity management and cash pooling solutions.
-
Implement automated reconciliation processes to improve efficiency.
-
Support escrow account arrangements where required.

Why you will value this
Better cash visibility
You always know where your money is
​
Optimized working capital
Your cash is put to work, not sitting idle
​
Reduced operational risk
Automated processes mean fewer errors and more control
Who we work with
We works alongside carefully selected strategic partners and associates, combining trusted relationships with institutional capability to deliver sophisticated wealth solutions.








