Nawfal Jorio, MSc. is a Financial Analyst for a Belgian Public Investor. He is an expert in Financial Management, Business Planning and Banking. His expertises are Start-ups, SME's and the Non-profit sector.
The Cash Flow Forecast is an essential tool for anticipating the surplus or future cash needs of a business. It’s a key aspect of financial management to avoid a lack of liquidities or, conversely, to avoid having huge amounts of idle cash.
RECEIVE NEWS + FREE TOOLSHERO TEMPLATE
In addition to our newsletter, you will receive our free “Business Model You” template to get started with your personal development.