Cash forecasting: Difference between revisions
From ACT Wiki
Jump to navigationJump to search
imported>Doug Williamson m (ACT Website link added 2/10/13) |
imported>Doug Williamson (Add links.) |
||
(5 intermediate revisions by the same user not shown) | |||
Line 3: | Line 3: | ||
== See also == | == See also == | ||
*[[Cash]] | |||
*[[Cash balance]] | |||
*[[Cash flow]] | |||
* [[Cash flow forecast]] | * [[Cash flow forecast]] | ||
* [[Liquidity]] | * [[Liquidity]] | ||
Line 8: | Line 11: | ||
==Other | ==Other resources - The Treasurer== | ||
*[http://www.treasurers.org/node/9346 What are the aims of long-term cash forecasts and how should you create them? | *[http://www.treasurers.org/node/9346 What are the aims of long-term cash forecasts and how should you create them?] | ||
*[http://www.treasurers.org/node/9108 The lifeblood of liquidity | *[http://www.treasurers.org/node/9108 The lifeblood of liquidity] | ||
*[http://www.treasurers.org/node/8828 Fabulous forecasting] | |||
[[Category:Cash_management]] |
Latest revision as of 22:51, 18 July 2022
The process of predicting cash flows for the purposes of liquidity management and financial control.
See also