cash flow keeping you up at night?
I help healthcare providers and biotech companies get a real-time window into their cash — so they always know where they stand and what's coming next.
Sound familiar?
Healthcare providers and biotech companies face a financial environment unlike any other.
Insurance reimbursements are slow and unpredictable. Operational decisions like hiring and capital investments make cash visibility even harder. And most organizations don't have the dedicated financial resources to stay on top of it all.
The result? You're constantly reacting instead of planning.
That's where I come in.
Why I started Infervise
I once built a cash flow report that saved a company from going insolvent. No one had visibility into where the cash was going — once I put it all together and told the story behind the numbers, it changed everything. It led to a full financial restructuring that kept the doors open.
That moment stuck with me.
Most organizations don't fail because of a bad product or a bad team. They fail because they ran out of cash before they figured it out.
That's exactly the problem I'm here to solve.
How I work
I stay with you
I don't just hand over a report and disappear. I'm a partner in your financial success.
I tell the story behind the numbers
Data is only useful if you understand what it means. I translate the numbers into clear, actionable insights.
What I do
Know exactly where your cash stands today — and get a 90-day plan that keeps you ahead of every gap.
Put your cash to work with smarter bank structures, better payment timing, and returns on idle balances.
Model the cash impact of big decisions — hiring, equipment, new service lines, your next raise — before you commit.
I keep it simple
No jargon, no overcomplicated models. Just clear answers to the questions that matter most.
Who I work with
Independent physician practices
Outpatient specialty clinics
Federally Qualified Health Centers (FQHCs)
Ambulatory Surgery Centers (ASCs)
Biotech startups & life sciences companies
Based in Sacramento, CA. Serving clients locally and remotely across the U.S.
Simple, hands-on financial advisory — built for healthcare and biotech.
I don't just hand you a report and walk away. I stay with you, help you make sense of the numbers, and support your business as it grows.
Cash Flow Assessment & Planning
One-Time Engagement
A comprehensive review of your cash flow position — delivered with a clear, actionable 90-day cash plan.
What's included:
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Review your current cash receipts and disbursements
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Identify cash flow gaps and working capital risks
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Analyze your insurance reimbursement cycle
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Deliver a forward-looking 90-day cash plan
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Recommend ways to improve Days in AR and collection timing
Ongoing Monthly Advisory
Monthly Retainer
Continuous financial oversight and expert support — so you always have someone in your corner as your business grows.
What's included:
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Review cash flow monthly and refresh your 90-day plan
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Optimize treasury management and bank account structures
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Identify idle cash and short-term investment opportunities
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Model scenarios for key business decisions
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Provide direct support by phone, email, or in-person
Strategic Financial Consulting
Project-Based
Targeted advisory for specific financial challenges — from cash planning to restructuring to investment strategy.
What's included:
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Support financial restructuring and turnarounds
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Analyze capital investments and equipment financing
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Review payer contracts and reimbursement strategy
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Build custom financial analysis and reporting
Transparent pricing — no surprises.
Hourly Advisory
$150 – $250 / hour
Great for one-time questions or a quick review
Monthly Retainer
$1,500 / month
Ongoing cash planning, treasury management, and strategic support
Project-Based
Custom Quote
Defined deliverables (e.g. Cash Flow Optimization) — pricing based on scope
What You Get
A strategic roadmap designed to transform your healthcare or biotech organization's financial health through precise cash flow management.
01. Assess
Deep dive into your current cash receipts and disbursement cycles to reveal hidden gaps and risks.
02. Plan
Architecture of a custom 90-day cash flow forecast and liquidity optimization strategy.
03. Implement
Deployment of improved treasury structures and refined collection timing protocols.
04. Monitor
Continuous advisory and oversight to ensure the 90-day plan stays ahead of market shifts.
05. Results
Greater cash position, fewer surprises, and better-informed decisions for capital growth.