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Cash flow forecasting is one of the most critical aspects of financial management, enabling businesses to anticipate cash inflows and outflows, maintain liquidity, and prepare for growth. Whether you are a small business managing day-to-day expenses or a large organization planning long-term investments, understanding how to forecast cash flow effectively is essential for financial stability in 2025.<br><br>At its core, cash flow forecasting helps companies transform reactive management into proactive planning. By analyzing expected income and expenses, businesses can identify potential shortfalls,
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