What is the Cash Flow Forecasting module?

Modified on Mon, 03 Oct 2022 at 07:12 AM

Centime's Cash Flow Forecasting solution enables the user to see a cash flow forecast for their business for a selected time period.

The forecast is generated based on historical as well as upcoming transactions pulled from your general ledger and your Accounts Payable or Accounts Receivable activities.

Was this article helpful?

That’s Great!

Thank you for your feedback

Sorry! We couldn't be helpful

Thank you for your feedback

Let us know how can we improve this article!

Select atleast one of the reasons

Feedback sent

We appreciate your effort and will try to fix the article