What We Do

Financial oversight, accounting, accounts payable and receivable, cash management, and the day-to-day financial operation behind the artist.

Business Management


Tour budgets, settlements, commissions, routing economics, payroll, transportation costs and show-level profitability.

Touring & Show Finance


Cash-flow forecasting, annual planning, tour projections, payroll reserves and scenario analysis designed to anticipate what the business will need next.

Budgeting & Forecasting


Clear, useful reporting built around the questions artists and managers actually need answered—not simply accounting reports generated after the fact.

Financial Reporting

Our Approach

Know the numbers before they become a problem.

The most useful financial information gives artists and their teams the ability to make better decisions before the money is committed. Not just record of what already happened.

7th Avenue Management keeps the financial picture in view as the business moves—cash flow, upcoming studio projects, touring economics, payroll, overhead, and the impact of the decisions being made today.

The goal isn't more reporting, it's better decisions, made earlier.