Managing Cash Through Scale
PureStream Beverage Group
Challenge:
Rapid expansion caused severe cash strain — big receivables, tight vendor terms, and poor production timing.
Solution:
We developed a daily cash flow model, renegotiated vendor terms, and implemented forecasting discipline across departments.
Results:
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Stabilized cash reserves at 2.5x monthly burn
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21% reduction in short-term borrowing
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Leadership now reviews Scoreboard monthly