Cash flow forecast

From ACT Wiki
Jump to navigationJump to search
The printable version is no longer supported and may have rendering errors. Please update your browser bookmarks and please use the default browser print function instead.

(CFF).

1.

A regular report sent by an organisation’s operations and subsidiaries to its headquarters informing about any cash excesses and deficits that they may have in the future.


2.

Any similar report prepared for planning and management purposes.


See also


Other resource

Liquidity first: three tips for treasurers, Web exclusive, May 2020