Cash Flow Forecasting

Cash Flow Forecasting is a financial management tool used to predict a company's future financial position. Coursera's Cash Flow Forecasting skill catalogue teaches you how to accurately predict incoming and outgoing cash to ensure solvency, assess risk, and make informed business decisions. You'll learn to prepare comprehensive cash flow forecasts, understand financial data and market trends, use forecasting software, and apply dynamic financial analysis techniques. Perfect your skills in optimizing business operations, managing risk, and planning for financial sustainability and growth, vital for roles in finance, business management, and entrepreneurship.
4credentials
28courses

Most popular

Trending now

New releases

Filter by

Subject
Required

Language
Required

The language used throughout the course, in both instruction and assessments.

Learning Product
Required

Learn from top instructors with graded assignments, videos, and discussion forums.
Get in-depth knowledge of a subject by completing a series of courses and projects.

Level
Required

Duration
Required

Subtitles
Required

Educator
Required

Results for "cash flow forecasting"

What brings you to Coursera today?

Leading partners

  • Goldman Sachs
  • EDUCBA
  • University of California, Irvine
  • Yonsei University
  • Alfaisal University | KLD
  • SoFi
  • University of Illinois Urbana-Champaign
  • Columbia University