Financial Analysis & Budgeting
Profit/Loss Analysis
Revenue stream categorization (by procedure type)
Cost allocation analysis
Procedure profitability analysis
Provider productivity metrics
Chair utilization rates
Daily production goal tracking


Cash Flow Management
Account receivables aging analysis
Payment plan optimization
Insurance reimbursement tracking
Working capital optimization
Credit line management
Emergency fund establishment
Seasonal fluctuation planning
Overhead Reduction
Fixed cost analysis
Variable cost optimization
Staff scheduling efficiency
Supply cost reduction
Utility usage optimization
Equipment lease/buy analysis
Service contract review
Production Goals
Historical data analysis
Market-based benchmarking
Provider capacity analysis
Specialty service integration
New technology ROI analysis
Growth projection modeling
Individual provider targets
Collection Rate Optimization
Insurance verification protocols
Payment policy development
Collection procedure automation
Past-due account management
Financial arrangement options
Credit card on file systems
Third-party financing integration
Investment Planning
Equipment replacement scheduling
Technology upgrade planning
Facility improvement timelines
Return on investment analysis
Financing option comparison
Tax advantage strategies
Capital expenditure budgeting