Contact Cleartrailroad
If your business needs clearer visibility into cash timing or a quick health check to protect payroll and key suppliers, reach out. We respond to inquiries about audits, rolling forecasts, receivables and payables playbooks, embedded FP&A support, and tailored training. Typical first steps include a brief discovery call, a quick data request for a short cash runway assessment, and a proposed 30–90 day plan with measurable outcomes. Our goal is to provide practical next steps you can implement quickly to improve near-term liquidity while preserving vendor relationships.
Head office
Cleartrailroad Inc.201 Market St, Suite 400
San Francisco, CA 94105
Ways to reach us
Office hours: Mon–Fri 9:00–17:00 PT. For urgent matters outside these hours use the phone number above.
What to expect after you reach out
After you submit a request we schedule a short discovery call to confirm objectives and access to minimal financial inputs needed for a short cash runway assessment. That assessment delivers an initial view of cash timing, a list of quick wins, and a recommended next step: a focused audit, a rolling forecast engagement, or an embedded FP&A arrangement. We prioritize actions that reduce near-term runway risk, protect payroll and suppliers, and provide measurable improvement within weeks. If you prefer, request a tailored case review first and we will share examples most relevant to your sector before a full audit.