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Cash Flow Forecasting in Volatile Markets: A 13-Week Approach
Finance

Cash Flow Forecasting in Volatile Markets: A 13-Week Approach

5 min read

A rolling 13-week cash-flow forecast gives management a practical near-term view of receipts, payments and funding pressure, especially when market conditions are volatile.

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Cash Flow Discipline for SMEs: Habits That Improve Resilience
Finance

Cash Flow Discipline for SMEs: Habits That Improve Resilience

7 min read

A practical look at why profitable businesses still run into cash pressure and the routines SMEs can adopt to improve liquidity control.

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