Cash Budget Forecasting

A cash budget is a crucial tool in financial planning that estimates the flow of cash in and out of a company over a specific period. It is a forward-looking, or *pro forma*, statement that helps businesses manage liquidity and ensure they have enough cash to meet their obligations. As you can see in the interactive model, a cash budget has several key components.

Superpowers for your classroom

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Superpowers for your classroom

Copyright © 2025 Tutorly Technologies Inc.

All Rights Reserved

Superpowers for your classroom

Copyright © 2025 Tutorly Technologies Inc.

All Rights Reserved