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Creating A Cash Flow Forecast

oboloo Glossary

Creating A Cash Flow Forecast

A Cash Flow Forecast is a business tool for understanding and predicting the amount of money that will flow in and out of an organization over a given period of time. It helps businesses identify potential cash flow issues before they become problems, as well as understand when funds need to be allocated for investments or expenditures. By creating and regularly updating a Cash Flow Forecast you can plan ahead and ensure that your business remains financially viable in the face of unexpected circumstances.

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