Cash flow forecasting

Cash flow forecasting is the process of obtaining an estimate of a company's future cash levels, and its financial position more generally.[1] A cash flow forecast is a key financial management tool, both for large corporates, and for smaller entrepreneurial businesses. The forecast is typically based on anticipated payments and receivables. Several forecasting methodologies are available.

  1. ^ Martin Gillespie (2016), What is Cash Flow Forecasting?, cashanalytics.com, accessed 16 November 2023

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