SMB's: Learn the strategic advantages of a best-in-class planning application for enhanced cash flow reporting, analysis, planning and business decisions.
Cash is the lifeblood of most organizations. Forecasting Cash Flow has become an essential element in SMB growth strategy. But for most companies, 90-95% of planning and forecasting focuses on the income statement. The development and analysis of cash flow is left for the "last day" or the eleventh hour and almost an after-thought in this process even though its use is highly critical to making key strategic decisions.
This white paper analyzes various planning and forecasting tools available to you, beyond the capabilities of spreadsheets, and offers the solutions that allow companies to incorporate Cash Flow reporting into the budgeting and forecasting process.
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