Cash Flow Management
The process of tracking, analyzing, and optimizing the timing of cash inflows and outflows to ensure a company maintains sufficient liquidity.
- Implementing net-30 payment terms to improve cash collection
- Negotiating extended payment terms with vendors
- Creating a 12-month cash flow forecast with monthly updates
After Helping Build the Web, Jim Clark and Thomas Jermoluk are on a Mission to Fix Its 'Original Sin'


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