Liquidity forecast

The Liquidity forecast form shows the result of the Create liquidity forecast process. This form allows you to view the liquidity data and to modify them where required. If required, you can manually add liquidity lines to display other expenses or revenues.

Liquidity forecasts give you an insight into the expected money flows of customers and suppliers, enabling you to take timely action to balance your income and expenditure.

The liquidity forecast is based on:

Tip: Once you have created the liquidity data, you can plot the data over time using the pivot table functionality.

Fields

Type

Last modified on

Processing date

Due date

Expected due date

Financial database