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Forecasting in Futrli
What is a 3 year cash flow forecast?
What is a 3 year cash flow forecast?

An overview of what a 3 year cash flow forecast is in Futrli.

Updated over a week ago

When you create a new forecast in Futrli, one of your options is a 3 year cash flow.

These forecasts always start in the current month. They then look ahead at the next 3 full financial years, plus the remainder of the current financial year. Unlike the 1 year P&L forecast option, a 3 year cash flow displays all balance sheet accounts, all P&L accounts, and a cash flow view.

Within a 3 year cash flow forecast you can:

There is also the option within a 3 year cash flow forecast to set where actual data displays until, then where forecasted data takes over.


How do I create a 3 year cash flow forecast?

You create this forecast from within the Forecasting homepage.

You can create them:

  • From scratch

  • Using Futrli's auto-predictions

  • Using pre-built predictions referencing last year's actual data

  • Copying from an existing Futrli forecast

📌TIP: For more information, use our Create a new forecast guide. Alternatively click the GIF below for a guided walkthrough of a 3 year cash flow forecast in Futrli.


What other forecast types are there?

For more information on the other two forecast types that you can create, click the guides below:

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