Cash Flow Management

Cash Flow Management refers to monitoring and assessing a business's cash inflows and outflows while strengthening its overall cash flow position in a given period. It aims to ensure that an organization has enough cash at all times to meet its financial obligations, like paying bills, lenders, suppliers, staff, etc.

Cash Flow Management

Firms use it in strategic planning, budgeting, and financial analysis. All businesses apply cash flow management to make informed financial decisions, assess operational efficiency, and maintain solvency. It also gives a complete picture of a firm's financial health, allowing it to identify plus reduce possible cash flow problems.

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