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Open Daily: 10am - 10pm | Alley-side Pickup: 10am - 7pm
3038 Hennepin Ave Minneapolis, MN
612-822-4611
Mastering the 13-Week Cash Flow Forecast: Operational Liquidity Management - Guide to Building, Analyzing, and Acting on Weekly Cash Flow Forecasts fo

Mastering the 13-Week Cash Flow Forecast: Operational Liquidity Management - Guide to Building, Analyzing, and Acting on Weekly Cash Flow Forecasts fo

Paperback

AccountingBusiness GeneralInvesting & Finance

Currently unavailable to order

ISBN13: 9798197432759
Publisher: Independently Published
Published: May 18 2026
Pages: 194
Weight: 0.59
Height: 0.41 Width: 6.00 Depth: 9.00
Language: English
Most businesses know they have a cash problem only after it's too late.
A 13-week rolling cash flow forecast changes that. It gives business owners, CFOs, and financial advisors a clear, week-by-week picture of where cash is coming from, where it is going, and - critically - what to do when a problem appears on the horizon.

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