Cash Flow Forecasting Tool
Fiscal First Aid, Treasury and Investment Management
Cash Flow Forecasting Tool
This page is for GFOA members.
Get access to this content and more by logging in.
Log inNot a GFOA member? Become a member
This simplified Excel-based monthly cash flow forecasting model provides a simple tool for analyzing the net impact of major revenues, expenditures, and corresponding balances projected over a 36-month period.
Publication Date: January 2021