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Four Pillars of Best-in-Class Cash Flow Forecasts
Key Takeaways: 1. Approach - Why a company should consider both an indirect FP&A forecast and a direct bottom-up forecast 2. Data - How data could be used to create an objective A/R and A/P 3. Modeling - How to ensure you are utilizing the right models for each category 4. Variance - Why having…
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