Cash Flow Forecasting Tool
Get Better Control of Your Business Today
Cash flow forecasting tends to be something many businesses do ad hoc or not at all. This can be because it seems too difficult and because there are so many other things to do that may take priority.
This free cashflow forecasting tool makes the process of creating, reviewing and understanding your cash flow simple and fast.
Below are the top 6 reasons every business, big or small should have a cash flow forecast that is reviewed regularly:
- Avoid Cash flow problems by spotting them before they hit
- Run different scenarios with different variables
- Reduce the risk inherent in making strategic decisions
- Make better informed decisions backed by real data
- Generate growth in your business by understanding the impact of growth on your cash
- Comparing your forecast to your actual performance gives you insight into performance of staff and other resources
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