How to Create a Cash Flow Forecast

The effective management of cash flow is essential for any successful business to survive. A Cash Flow Forecast helps you predict what is going to happen to your cash flow and identify potential future pitfalls to make sure the business has sufficient funds to meet its obligation. (Excel and PDF Docs)

Templates

Download this template to help you ascertain the cash position of their business.

Your cash flow statement is an important tool to review the performance of a business as well as assist in forecasting and strategic planning.

Use the cash flow forecast to:

  • Get full picture about what happened with cash flow.
  • Show you where your business stands.
  • Help find billing, collections, and payables systems failures.
  • Streamline monthly expenses to reduce money going out.
Resource - How to Create a Cash Flow Forecast (PDF & Excel)

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