A cashflow forecast is a great tool, how to use it effectively is the key. Comparing actual versus forecast and constantly updating your forecast is vital. This video shows you how to get control of cashflow in your business and there's an offer at the end of a Cashflow Forecasting Tips Guide.
Click the following link to access the Cash Flow Forecasting Tips whitepaper and the Sales Collection (Debtor Days) Calculator: [ Ссылка ]
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It's full of simple, plain English explanations about all aspects of business financial management.
It includes a 12 Stage 'Financial Fitness Plan' that guides you through a complete overhaul of your business financial management. Including how to avoid losses, how to price right, how to manage costs, how to get paid quicker, how to handle suppliers effectively, how to manage jobs and stock effectively, systems for business efficiency, Key Performance Indicators to reach your targets, business growth and business exit.
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