Build a 13-Week Cash Flow Forecast in Drivetrain
Join us for a live demo to see how teams build and maintain a 13-week cash flow forecast with always-up-to-date actuals, scenarios, and reporting in Drivetrain.
Managing short-term cash visibility is a core part of FP&A.
In this live product tour, we’ll walk through how finance teams build and maintain a 13-week cash flow forecast in Drivetrain that stays current as actuals change.
This session focuses on how things are set up in Drivetrain and how teams actually use it—with a hands-on walkthrough of a working cash flow model and reports.
What you’ll learn
Understand how to build and maintain a 13-week cash flow forecast in Drivetrain
See a live example of direct and indirect cash flow models powered by real-world data
Take away templates and best practices you can apply immediately in your tenant
Who should attend
Who should attend?
FP&A and finance teams using Drivetrain
Teams responsible for short-term cash forecasting or liquidity planning
Customers looking to improve or standardize their cash flow reporting in Drivetrain