Accounting Logic can provide a cashflow forecast that estimates the amount of money you can expect to flow in and out of your business. This includes all your projected income and expenses and usually covers the next year, though it can also cover a shorter period such as a week or month. A cashflow forecast can help all businesses to improve their financial position and identify major issues in advance, such as any potential shortfalls in cash balances or problems with customer payments. It can also provide assurance that the business can afford to pay suppliers and employees.

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