Free Capital Group
Apply

Unlock more usable capital—without adding revenue.

Free Capital Group helps business owners increase available cash by tightening tax strategy and fixing cashflow mechanics—so you can fund growth, stabilize operations, and build a stronger balance sheet.

Strategy-first consulting. Implementation support. Built for profitable businesses that want more liquidity.

Reduce cash leakage
From taxes, timing decisions, and avoidable inefficiencies.
Increase visibility
Know weekly what’s safe to spend, reserve, and deploy.
Build a capital roadmap
Hiring, marketing, debt payoff, reserves—planned, not guessed.

Two ways we create capital

You don’t need more revenue to get more breathing room. You need a better plan for taxes and a better operating system for cash.

Tax Capital Consulting

Identify legal planning opportunities and build a tax strategy that prioritizes liquidity—not just compliance.

  • Quarterly tax strategy and scenario planning
  • Entity and compensation planning (coordinated with your tax pro)
  • Deduction and documentation systems
  • Year-round planning to avoid surprise tax bills

Cashflow Solutions for Businesses

Design a working cashflow system so you know—weekly—what’s safe to spend, what to reserve, and what you can deploy.

  • Cashflow map: inflows/outflows, cycles, choke points
  • Weekly cash operating system (simple, repeatable)
  • Pricing/margin diagnostic to unlock trapped cash
  • Debt payoff vs reinvestment decision framework
Apply to Work Together

A simple system to increase available capital

Step 1
Capital & Tax Diagnostic

Review your cash position, tax posture, and operating cycles to find the fastest wins.

Step 2
Build the Capital Plan

A prioritized plan: what to change first, what it’s worth, and how to implement cleanly.

Step 3
Implement & Maintain

Execute, coordinate with your team, and keep the plan updated as your business evolves.

Case studies

Profitable but tight

Rebuilt cashflow cadence and quarterly planning to eliminate surprises and stabilize deployable cash.

Tax timing cleanup

Implemented year-round planning and documentation to align tax decisions with capital needs.

Growth readiness

Built a capital roadmap for hiring, marketing, and reserves to support controlled scaling.

Examples are generalized; outcomes depend on facts and implementation.

Resources

Cashflow checklist

A quick diagnostic to find where cash is getting trapped.

Quarterly planning template

A simple cadence for tax planning + capital decisions.

Owner pay framework

A clean structure for salary, draws, and reserves.

About Free Capital Group

Free Capital Group is built for business owners who want more control: clearer cash decisions, fewer tax surprises, and a plan that turns profitability into deployable capital. We focus on strategy, implementation support, and clean coordination with your existing professionals.

Apply for a Capital Optimization Call

Share a few details and we’ll respond with next steps. If there’s a fit, we’ll schedule a call and map your highest-impact opportunities.

Disclaimer: Information provided is for general consulting purposes and is not legal or tax advice. Work may involve coordination with licensed professionals depending on scope and jurisdiction.