Financial planning
How to allocate resources in advance, see future cash flow, and align plans across business units.
ATM Group team
Co-owner and Managing Partner at ATM Group. He is responsible for the company’s development and helps owners build practical management finance systems.

Vladimir’s focus is not statutory reporting as a formality, but management tools that help an owner make better decisions.
How to allocate resources in advance, see future cash flow, and align plans across business units.
How to connect the P&L, cash flow statement, and balance sheet into one coherent view of the business.
Why profit is not the same as cash and which indicators an owner should review regularly.
How to base compensation for executives and employees on measurable results rather than subjective assessment.
ATM has not launched a complete English article library yet. These Russian-language articles answer foundational owner questions and provide the most detailed practical material currently available.
Vladimir’s official profiles help readers and search systems distinguish the author from people with a similar name and find his latest material.
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