Business forecasting – a pleasant process 12.6.2017 Making financial forecasts can be pleasant and easy, even fun, when a clear, simple and scheduled process is utilized. Financial planning includes budgets and forecasts, which both are important and r... Posts by: Anne Sutela Lue lisää
Optimize your cash flow – 12 weeks’ rolling forecast 8.5.2017 In order to succeed, a company must have adequate cash reserve to manage the solvency, i.e. liquidity of the company. When the company is successful, there may be ample cash reserves that require inve... Posts by: Anne Sutela Lue lisää
Financial administration providing up-to-date information for decision making 27.3.2017 Up-to-date information forms the essential basis for company management decision making ( management tools ). Most of the information is gathered through the company’s financial administration or fina... Posts by: Anne Sutela Lue lisää
Cash flow forecasting for better cash management 27.2.2017 Money talks in business. No matter what the business goals are, cash management has an essential effect on how quickly (or slowly) you can reach them. Adequacy of cash defines whether the business act... Posts by: Anne Sutela Lue lisää
Profit forecast; yearly or monthly? 19.1.2017 “Every company should prepare a three-month rolling forecast.” The budgets of this year have just been ratified, and many breathe a sigh of relief; no need to repeat this until next year. Therefore, I... Posts by: Anne Sutela Lue lisää
Budget – numbers or insight? 8.12.2016 A budget is a combination of several thoughts of an individual person if it is made unsystematically without a common goal. As a process, budgeting is done in many different ways. Far too often, I hav... Posts by: Anne Sutela Lue lisää