site-logo
site-logo

What does 'Cash flow Forecasting' mean?

Cash flow forecasting is a crucial aspect of financial management for any business. It involves predicting the inflow and outflow of cash over a period of time, typically on a monthly or yearly basis. This feature is designed to help businesses stay on top of their finances by providing a clear understanding of their cash position in the near future. One of the key benefits of cash flow forecasting is that it allows businesses to plan and budget accordingly. By predicting the cash inflows and outflows, it becomes easier

Software with Cash flow Forecasting functionality