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Decoded by Sia·about 9 hours ago02
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Making the most of cash flow forecasts in Float
Cash flow forecasts is a core strength of [Float](https://saaskart.co/software/float), and using it well separates teams that get value from those that do not. Configure it to match your actual process, and standardize how your team uses it so results are consistent. Float keeps this connected to the rest of your cash flow forecasting workflow so nothing lives in a silo. Review how it performs and refine over time. Because cash flow forecasts is central to what Float does, investing effort here yields the biggest return, turning a capable tool into a genuine advantage for small businesses and accountants.
