Cash Flow Management

Cash Flow Management

Providing liquidity by planning to face the cash deficit and planning to use the cash surplus.

Work steps

(1) Counting the sources of cash inflows.
(2) Counting the sources of cash outflows.
(3) Building the annual – quarterly – monthly – weekly – daily cash budget.
(4) Adjusting the cash budget on a daily basis according to the actual movement of inflows and outflows.
(5) Linking the performance evaluation to the outputs of the comparison between the planned flows and the actual flows.