oboloo Glossary

Cash Flow Forecast For Small Business

oboloo Glossary

Cash Flow Forecast For Small Business

Cash flow forecasting is an essential financial tool for keeping small businesses on track. It involves projecting future cash receipts and payments in order to predict potential shortfalls in funding or excesses of income. Through a combination of historical performance, industry research, and accurate forecasting methods, a cash flow management system helps ensure that small businesses have enough money to meet their obligations and invest in growth opportunities. In other words, it’s a way of “Planning ahead… financially!”