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What is a 13 Week Cash Flow Forecast?

CFO Share

Best practices for cash management using a rolling 13 week cash flow model are: Accounting updates the outflow section to include all bills, payroll, and debt service payments. The CFO and management meets to review the financial model, identify and remedy short term liquidity issues. Accuracy is critical in this step.

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How to create & use pro forma statements

Cube Software

These financial modeling tools are one of the most important to help a company prepare for any kind of scenario imaginable and map out a future trajectory. Pro forma statements are financial projections that ask and attempt to answer "what if" questions. A pro forma invoice is not a type of pro forma financial statement.

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