Module 3, Topic 9
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Cash Flow Forecast

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Summarise your cash flow forecasts for the next three to five years, before attaching to your business plan a detailed forecast for the next year. You’ll find templates to help you create a cash flow forecast in the Finance section of the Book Your Pet Membership. Few businesses enjoy consistent levels of cash flow throughout the year, so unless your industry or business model can justify that prediction, you’ll need to drill down into your market research to identify the peaks and troughs in income that you can expect.