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Cash Flow·5 min read·

Building a Cash Forecast Leadership Can Trust

A well-designed 13-week cash forecast becomes a management tool, not just a finance report.

Most SMEs discover cash problems late. A weekly, rolling 13-week forecast changes that.

The key is discipline: consistent inputs, clear ownership and a short weekly review with the leadership team.

Done well, cash becomes something leadership steers instead of something they react to.

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