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Cash-flow writing for SaaS CFOs and their controllers — the case for unifying AP and AR on one ledger before forecasting, the two-sided weekly methodology that surfaces the negative week before it hits the bank, and the reconciliation overhead single- tool forecasts quietly hide.
Two-sided forecasting for finance teams
Why AP and AR belong on one ledger before cash forecasting can be trusted.
Cash forecasting for small teams
How spreadsheets, AP-only, and AR-only forecasts break first at scale.
Spreadsheet cash forecasting vs two-sided
Why a single AR column hides the negative week that matters for SaaS CFOs.
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