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Cash Flow Forecast

A cash flow forecast estimates expected inflows and outflows of cash based on projected sales, supplier payments, operational costs, and settlement timings.

Why It Matters

  • A profitable business can still run out of cash.
  • Identifies upcoming cash gaps early enough to act.
  • Supports responsible growth and inventory investment.

Connection to Capital

Shows when capital becomes available again and whether liquidity is sufficient to support replenishment and expansion.

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