Cash Flow Forecasting

Cash flow is the money that comes in and goes out of your business. Progue views cash flow forecasting as an integral part of a successful business because it allows key stakeholders to set realistic goals and make informed decisions based on future cash flows.

We also believe that effective cash flow forecasting should be undertaken when considering any material investment decision. It is here that you are able to identify if you are financially capable of such an investment before potentially jeopardising your financial stability.

The team at Progue can use cash flow forecasting to improve your decision making and adopt a forward looking approach to business planning. To implement a cash flow forecasting system suitable to your business, contact us.