StoneroseStonerose Treasury

Turn Cash Chaos Into Sustainable Profit.

The Stonerose Liquidity Operating Standard (SLOS) is a practical framework for mid-market businesses. It helps finance teams build daily cash visibility, a disciplined 13-week forecast, and a longer-term view of liquidity.

Clear dashboard reporting
Secure access and controls
Built on 25+ years of treasury leadership
The problem

Businesses do not fail because they lack of profit They fail because they run out of cash.

Finance teams can report strong performance while liquidity quietly tightens. Financial statements do not manage cash day to day. Without a clear operating rhythm, profitable businesses can still face real pressure.

Cash scattered

Manual portals, spreadsheets, and CSV files make it hard to see the full picture quickly.

Forecasts unreliable

Without a disciplined 13-week process, issues appear late and confidence drops.

Spreadsheet fragility

Too much depends on manual files, hidden formulas, and version control.

Profit disconnected from cash

Reported performance does not always match the reality in the bank.

Governance gaps

Access, ownership, and auditability are often unclear when the process is spread across too many places.

Slow, costly systems

Heavy tools can take too long to implement and still fail to support the weekly cash rhythm.

Built for mid-market finance teams that want better visibility and control without unnecessary complexity.

The solution

The Stonerose Liquidity Operating Standard A thinking system for cash clarity.

SLOS is a simple, proven framework that helps mid-market businesses improve cash visibility, strengthen forecasting, and build long-term liquidity resilience.

Daily cash visibility

Know where your cash is each morning, across entities and bank accounts.

13-week forecast discipline

Create a weekly forecasting rhythm with clearer headroom and better decision-making.

Long-term liquidity view

Plan ahead for debt, investment, and risk with a more structured view of cash.

Governance and structure

Set clear roles, review cadence, and controls so the process does not depend on last-minute heroics.

Why SLOS Exists

Bridging the gap between financial reporting & real liquidity

The Stonerose Liquidity Operating Standard (SLOS) is a simple, proven framework that helps mid-market businesses avoid cash failure and build sustainable, long-term cash profit. It draws from real-world treasury transformation — not theory.

The SLOS model

1

Financial Reporting

Traditional P&L and balance sheet view

2

Cash Forecasting

Short-term projections and variance tracking

3

Liquidity Resilience (SLOS)

The foundation: visibility, control, and governance

Core principles

Five principles behind the standard.

1

Visibility before sophistication

Start with a clear view of cash before adding more complexity to the process.

2

One version of the truth

Work from a single, trusted view so decisions are based on consistent information.

3

Time-scaled discipline

Use the right level of review across daily, weekly, and longer-term horizons.

4

Structured bank relationships

Treat banking visibility, communication, and discipline as part of liquidity management.

5

Governance, not heroics

Build a process with clear roles, cadence, and controls rather than relying on last-minute effort.

Maturity model

Where are you today?

A simple way to assess where your organisation is today and what the next stage of liquidity management could look like.

1

Level 1

Reactive

Cash view is fragmented; forecasts unreliable.

2

Level 2

Controlled

Forecasting and governance in place.

3

Level 3

Strategic

Cash drives strategy and risk management.

Take the Self-Assessment Quiz

Find out whether your current process is reactive, controlled, or strategic.

Core capabilities

What you get with SLOS.

Practical tools and structure to improve cash visibility, strengthen control, and support better decision-making.

Clear reporting in one place

Bring daily cash, 13-week forecasting, and longer-term liquidity reporting into one structured view.

Controlled access

Give the right people access to the right information, with clear permissions and stronger governance.

Views across time horizons

Move easily between daily cash visibility, short-term forecasting, and longer-term planning.

Structured upload and validation

Check incoming data before it is used, so reporting stays more reliable and consistent.

Simple exports and sharing

Create clear outputs for reviews, meetings, and board packs without rebuilding the numbers.

Oversight and cost control

Keep visibility over usage, performance, and operating cost as the process grows.

Book & pilot programme

Practical support for cash visibility and control.

Discover Mala Sun's published book and apply for the April Pilot if you want a more structured cash reporting and forecasting process.

Published bookAvailable on Amazon

The Art of Cash Flow

A practical book on treasury, resilience, and financial transformation — shaped by 25 years of real-world experience.

The Art of Cash Flow book cover by Mala Sun
  • A practical approach to daily cash reporting and 13-week forecasting.
  • Grounded in real operating experience across multinational and national businesses.
  • Clear thinking on liquidity, governance, controls, and financial resilience.
  • Useful for finance leaders who want a stronger and more disciplined cash process.

Written for finance professionals, operators, and business leaders who want a more practical understanding of cash flow — not just theory.

Limited availabilityApril Pilot — 2 slots

Apply for the April Pilot

A focused four-week engagement to strengthen cash visibility, forecasting, and controls — with practical handover for your team.

4-week engagement
13-week model + weekly cash pack
Controls cadence + handover playbook
Application helps ensure fit and delivery capacity

This pilot is suited to finance teams that want a more structured weekly cash process without overcomplicating the operating model.

We use your information only to review and respond to this application.

SLOS Mastermind

Join the SLOS Mastermind Programme

Go beyond the framework. The SLOS Mastermind is a structured coaching programme for finance leaders who want to implement SLOS in their organisation with guidance, accountability, and a community of peers.

Guided 90-day SLOS implementation sprint
Live group coaching with treasury professionals
Self-assessment tools and maturity scoring
Access to templates, frameworks, and tooling

Implementation journey

90-Day Sprint

01

Weeks 1-4

Daily cash visibility model

Build a clearer daily view of cash so the business starts each day with better visibility.

02

Weeks 5-8

13-week forecast discipline

Introduce a structured weekly forecasting process with clearer ownership and review rhythm.

03

Weeks 9-12

Governance & long-term view

Strengthen roles, cadence, and controls while building a broader view of liquidity.

90-Day Sprint

Structured implementation with a clear weekly focus

12 Weeks
Weeks 1-4Weeks 5-8Weeks 9-12
Plans

Stonerose Treasury Plans

Choose the level of support that fits your business today, and expand as your liquidity process matures.

Flexible scope as your needs grow
Starter

SLOS Essential

Simple daily cash visibility for smaller teams that want a practical starting point.

£450/ month
  • Daily cash reporting view
  • Secure uploads and exports included
  • Up to 2 seats
  • Up to 2 entities and 1 currency

Best for: Smaller teams that need a simpler and more structured daily cash view

Core

SLOS Precision

Daily and 13-week cash visibility with uploads, exports, and Pip support for growing finance teams.

£950/ month
  • Everything in Essential
  • 13-week forecast structure
  • Uploads, exports, and Pip support
  • Up to 5 seats with broader entity coverage

Best for: Businesses ready to move into a more disciplined weekly liquidity process

Recommended

SLOS Strategic

Deeper planning support for teams that need daily, 13-week, and longer-term liquidity visibility.

£2,400/ month
  • Everything in Precision
  • Longer-term liquidity view
  • Stronger planning and advisory support
  • Up to 10 seats for wider leadership use

Best for: Finance leaders who need clearer planning, stronger reporting, and better decision support

Custom

Treasury as a Service

Diagnostic-led pricing for businesses that need bespoke treasury support.

Customtypical engagements £5,000 to £25,000+
  • Initial Liquidity Diagnostic
  • Bespoke reporting and treasury support
  • Scope set around complexity and reporting needs
  • Commercial model agreed after diagnostic

Best for: Businesses that need a bespoke treasury engagement rather than a standard plan

Plan comparison

Daily cash reporting

A clearer daily view of balances, movements, and core liquidity position.
Essential
Included
Precision
Included
Strategic
Included
TaaS
Included

13-week forecasting

A rolling weekly cash forecasting process to support short-term planning.
Essential
Precision
Included
Strategic
Included
TaaS
Included

Long-term liquidity view

A broader planning view beyond the weekly forecast for strategy and resilience.
Essential
Precision
Strategic
Included
TaaS
Included

Uploads

Structured uploads to make data intake cleaner and more repeatable.
Essential
Included
Precision
Included
Strategic
Included
TaaS
Included

Exports

Create outputs for internal sharing, packs, and management review.
Essential
Included
Precision
Included
Strategic
Included
TaaS
Included

Pip support

Additional analysis support for teams that need more than simple visibility.
Essential
Precision
Included
Strategic
Included
TaaS
Included

Pricing model

Standard plans are fixed monthly tiers. Treasury as a Service is scoped following an initial Liquidity Diagnostic.
Essential
Fixed monthly
Precision
Fixed monthly
Strategic
Fixed monthly
TaaS
Diagnostic-led

Typical commercial scope

Treasury as a Service is priced by business complexity, reporting requirements, systems, and cash management maturity.
Essential
Standard
Precision
Standard
Strategic
Standard
TaaS
Bespoke

Support model

How support becomes broader and more involved at higher tiers.
Essential
Starter
Precision
Guided
Strategic
Advisory
TaaS
Bespoke

Seats included

The standard number of users included before any wider access discussion.
Essential
2
Precision
5
Strategic
10
TaaS
By scope
FAQs

Frequently asked questions.

Clear answers on how the framework works, how access is handled, and how you can get started.

No. Stonerose provides automated, expert-designed Power BI dashboards for daily cash visibility, 13-week forecasting, and long-term planning. You simply provide your data via our validated templates, and our engine handles the transformation and visualisation.

Still have a question? Learn more about SLOS or contact us.

Book a Liquidity Diagnostic

Tell us where you are today, and we can discuss the right next step for your business.

  • Discovery call
  • Practical next steps
  • No obligation

We use your details only to respond to your enquiry.

Email

info@stonerosetreasury.co.uk

Hours

Mon–Fri, 9:00–17:30 (UK)

Location

London, United Kingdom

Insights

Treasury insights

Practical notes on cash visibility, forecasting, and liquidity management.

Ready to take control of your cash?

Start with a practical framework for daily cash reporting, 13-week forecasting, and longer-term liquidity planning.

  • Daily cash visibility
  • 13-week forecast discipline
  • Long-term liquidity view

A practical starting point for businesses that want stronger cash visibility, forecasting, and control.