Basis Flow
MK

13-week cash forecast

Opening cash

$48,214,900

Wk 1 · Jul 21

Projected close wk 13

$53,061,300

+$4,846,400

Lowest weekly balance

$44,902,100

Wk 6 · Aug 25

Projected inflows

$24,180,600

13-week total

Projected outflows

$19,334,200

13-week total

Rolling 13-week forecast

Net positiveNet negative
WeekOpeningAR inflowOther inAP outflowPayrollNetClosing
Wk 1 · Jul 21$48,214,900$1,620,400$182,000−$742,300−$0+$1,060,100$49,275,000
13-week total$21,486,200$2,694,400−$12,918,600−$6,415,600+$4,846,400$53,061,300

Forecast assumptions

Receipts are phased from the open AR ledger using the trailing 90-day collection curve. Top 20 customers are modelled individually; the tail is pooled at portfolio DSO.

Manual adjustments

  • Delayed capex — plant B

    Wk 4

    −$620,000
Dual7 template preview — this is a fictional demonstration business.
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