How to Build a 13-Week Cash Flow Forecast in Excel for a Small Business
A profitable business can still struggle to pay its bills when customers pay late. Sales may look healthy, but payroll, rent, and supplier payments need cash available on specific dates. A 13-week cash flow forecast in Excel helps you estimate your bank balance week by week. It shows when money is expected to arrive, when
How to Build a 13-Week Cash Flow Forecast in Excel for a Small Business Read More »
