Cash Flow Forecasting is a financial management tool used to predict a company's future financial position. Coursera's Cash Flow Forecasting skill catalogue teaches you how to accurately predict incoming and outgoing cash to ensure solvency, assess risk, and make informed business decisions. You'll learn to prepare comprehensive cash flow forecasts, understand financial data and market trends, use forecasting software, and apply dynamic financial analysis techniques. Perfect your skills in optimizing business operations, managing risk, and planning for financial sustainability and growth, vital for roles in finance, business management, and entrepreneurship.