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MDRAddress the growing frequency, type, and severity of cyber threats against SMB endpoints
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SIEMCentralize threat visibility and analysis, backed by cutting-edge threat intelligence
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Risk Assessment & Vulnerability ManagementIdentify unknown cyber risks and routinely scan for vulnerabilities
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Identity ManagementSecure and streamline client access to devices and applications with strong authentication and SSO
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Cloud App SecurityMonitor and manage SaaS security risks for the entire Microsoft 365 environment.
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SASEZero trust secure access for users, locations, and devices
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Enterprise-grade SOCProvide 24/7 threat monitoring and response backed by proprietary threat research and intelligence and certified cyber experts
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Policy ManagementCreate, deploy, and manage client security policies and profiles
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Incident Response ServiceOn-tap cyber experts to address critical security incidents
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Cybersecurity GlossaryGuide to the most common, important terms in the industry
eBook

The MSP COVID-19 Playbook: Managing Cash Flows During a Crisis
As many of your clients reduce or shut down operations, this leaves a lot of uncertainty around where your revenue will be coming from. Many managed service providers (MSPs) only have a few months of cash reserves available, so getting your cash flow management under control can help you keep the lights on.
In The MSP COVID-19 Playbook: Managing Cash Flows During a Crisis, we’ll walk you through essential cash flow management best practices to help your MSP to keep money coming in while managing how much goes out. This chapter will help you:
- Put the right tools and processes in place
- Make it easy to get paid consistently
- Gain visibility into your finances
- Cut expenses to build resiliency