Cash forecasting: Difference between revisions

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The process of predicting cash flows for the purposes of liquidity management and financial control.
The process of predicting cash flows for the purposes of liquidity management and financial control.


== See also ==
== See also ==
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* [[Liquidity]]
* [[Liquidity]]
* [[Receipts and disbursements method]]
* [[Receipts and disbursements method]]


==Other links==
[http://www.treasurers.org/node/9346 What are the aims of long-term cash forecasts and how should you create them?, The Treasurer, September 2013]

Revision as of 13:09, 2 October 2013

The process of predicting cash flows for the purposes of liquidity management and financial control.


See also


Other links

What are the aims of long-term cash forecasts and how should you create them?, The Treasurer, September 2013