CFinance glossary

Cash Flow Forecast

Quick definition

A projection of future cash flows.

Overview

A cash flow forecast is a management tool used to predict cash inflows and outflows, helping maintain financial balance and anticipate funding needs.

Common uses

  • Resource management
  • Budget forecasting
  • Cash flow optimisation

Examples of use in small businesses

  • Forecasting slow periods
  • Anticipating payments
  • Managing capital needs
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