Bridging Seasonal Fluctuations and Financing Projects
In an industry driven by cycles and project milestones, control over one's own cash flow is a decisive success factor. cflox provides you with the instrument to actively manage your liquidity, independent of external factors.
Through the strategic extension of payment terms, you create an additional financial buffer for your material suppliers. You cover ongoing costs and wages during contractually weak winter months and bridge the time until your next progress payment in the project business. By converting your working capital into a reliable reserve, your operational readiness is fully secured.
Additional payment terms with cflox pay
