Cash Flow Mastery and Runway Extension
Adopt a rolling 13-week cash forecast, updated every Friday. Track expected receipts, planned disbursements, and buffer. This cadence eliminates surprises, anchors decisions, and signals when to accelerate sales or defer spending with calm, timely precision.
Cash Flow Mastery and Runway Extension
Shorten receivables with upfront deposits, annual prepay discounts, or credit card checkout. Stretch payables respectfully by negotiating net terms or batching purchases. Share a negotiation tactic that saved your runway and learn a new one from fellow founders.