Build a Cash Forecast That Guides Real Decisions
Map weekly inflows and outflows for the next thirteen weeks: sales receipts, tax payments, payroll, rent, subscriptions, and debt service. Roll it forward every Friday. You will quickly spot timing gaps, preempt crunches, and choose actions—speed collections, delay a hire, or draw credit—while options remain open and affordable.
Build a Cash Forecast That Guides Real Decisions
Model three paths: optimistic wins, expected momentum, and a rough patch with slower receipts. Tie each scenario to concrete moves—discounts or deposits for inflows, deferrals or term negotiations for outflows. When reality shifts, you will already know the playbook, acting calmly instead of scrambling under pressure.