5.2.2

Cash Flow Forecasts

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Cash Flow Forecasts

Cash flow forecasts are a business’ prediction of how much money will come in and out of the business in a given amount of time.

Illustrative background for Cash flow forecastsIllustrative background for Cash flow forecasts ?? "content

Cash flow forecasts

  • Businesses will estimate all the possible sources of cash inflows (e.g. sales) and cash outflows (rent, salaries, costs of production).
  • They may be able to forecast these inflows and outflows using past data on sales and costs, as well as using market research.
Illustrative background for Forecasting liquidity problemsIllustrative background for Forecasting liquidity problems ?? "content

Forecasting liquidity problems

  • It is important for businesses to forecast this accurately to avoid liquidity problems.
    • A liquidity problem is when a business runs out of cash in the short-term. They won’t have enough cash to pay rent and peoples’ wages.
    • To solve a liquidity problem, a business has to reduce (or delay) cash outflows and increase (or get sooner) cash inflows.

Jump to other topics

1Understanding Business Activity

1.1Business Activity

1.2Classification of Businesses

1.3Enterprise, Business Growth & Size

1.4Types of Business Organisation

1.5Business Objectives & Stakeholder Objectives

2People in Business

3Marketing

3.1Marketing & the Market

3.2Market Research

3.3Marketing Mix

3.4Legal Controls

4Operations Management

5Financial Information & Decisions

6External Influences on Business Activity

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