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Cash Flow Forecasting in Business Central

Cash Flow Forecasting in Business Central – Beginner Guide

Managing money is the heartbeat of every business. Even if sales are growing, running out of cash can stop operations suddenly. That’s why cash flow forecasting is one of the most important financial tools.
With Microsoft Dynamics 365 Business Central, you can easily forecast your cash position, track inflows and outflows, and make better decisions. This guide will help beginners understand and set up Cash Flow Forecasting step by step.

What is Cash Flow Forecasting?

Cash Flow Forecasting is the process of predicting:

  • Cash inflows : money coming into the business (customer payments, loans, investments, etc.)
  • Cash outflows : money leaving the business (vendor bills, salaries, rent, taxes, etc.)

This helps you answer the key question: “Will I have enough cash to run my business in the coming weeks or months?

Why Use Business Central for Cash Flow Forecasting?

Business Central makes forecasting easier by:

  • Combining data from sales orders, purchase orders, budgets, and expenses.
  • Showing clear graphical charts of cash movement.
  • Allowing what-if scenarios (e.g., late customer payments).
  • Helping you plan investments or manage shortages.

How to Set Up Cash Flow Forecast in Business Central

Step 1: Open Assisted Setup

Click on Settings like and navigate to “Assisted Setup” page like mentioned following image or Search “Assisted Setup” to view the same.

Open Assisted Setup in Microsoft D365 Business Central ERP
Open Assisted Setup in Business Central

Step 2: Configure the Cash Flow Forecast Chart Using Wizard

Search the Cash Flow forecast inside the Assisted Setup and open the wizard.

Step 2 Assisted Setup with Cash Flow Forecast Chart
Step 2 Assisted Setup with Cash Flow Forecast Chart
Setup Cash Flow in Business Central
Initial wizard page for Setup Cash Flow in Business Central

Press “Next” to proceed further. Once proceed will get window similar following Confirmation screen.

Select “Yes” to proceed further.

Cash flow forecast setup confirmation
Cash flow forecast setup confirmation

Select the options as per requirement (Select Cash accounts, Forecast update duration, Azure AI advanced Cash flow forecast option if required etc.) then click “Next” to proceed.

Setup Cash Flow forecast setup main in Business Central
Setup Cash Flow forecast setup main page in Business Central

Forecast by day, week, or month depending on business needs.

In the following screen, mention how often the company pays taxes and provide related details such as the payment window duration and the G/L account used for this purpose.

Cash flow forecast setup wizard 3 page
Cash flow forecast setup wizard 3 page

Click “Next” to proceed further.

Cash flow forecast assisted setup final page
Cash flow forecast assisted setup final page

Click On “Finish” to complete the setup for Cash Flow Forecast

Manual Cash Flow Forecast Setup

You may setup Cash Flow Fore cash Setup manually as well. For doing that search “Cash Flow Forecast

You may try Business Central Shortcut key Alt+Q as well for opening Search window directly.

Cash Flow forecast searching in Business Central
Cash Flow forecast searching in Business Central

Step 1: Open Cash Flow Forecast Card

Once open the page Click on “New” to create manually.

Cash Flow Forecast Manual creation option
Cash Flow Forecast Manual creation option

Select the options as per requirements.

Make sure to choose “Show in Chart on Role Center” to display Cash Flow in Role center.

Step 2: Cash Flow Forecast Worksheet Page Opening

Follow Home -> ‘Cash Flow Worksheet‘ to open Cash flow worksheet page for further steps.

Before Suggest Worksheet lines job in Business Central manual Cash flow forecast
Before Suggest Worksheet lines job in Business Central manual Cash flow forecast

In order to continue click on “Suggest Worksheet lines“. Once click on the same following window will open on the screen choose the options as per requirement and press “OK” to continue further.

Suggest Worksheet lines options to choose
Suggest Worksheet lines options to choose
Suggest Worksheet lines populated on Manual Cash flow forecast setup
Suggest Worksheet lines populated on Manual Cash flow forecast setup

Similar to above image lines will populate. If you want to update to dimensions then can do in this stage.

Click on “Register” button to proceed with confirmation.

Suggest Worksheet lines with register confirmation screen
Suggest Worksheet lines with register confirmation screen

In order to confirm “Yes” on the confirmation message to register.

Cash Flow Forecast Manual creation with worksheet lines registered confirmation
Cash Flow Forecast Manual creation with worksheet lines registered confirmation

Once its registered successfully will show the image like above. if there is any errors or warnings then will show details on “Errors and Warnings” section.

Cash Flow Forecast Statistics and Reports

Now let us see Cash Flow forecast statics and reports available.

Cash Flow Forecast in Role center Dashboard

In order to check the Cash Flow forecast required open included role center like “Accountant”.

Cashflow Forecast Dashboard in Business Central
Cashflow Forecast Dashboard in Business Central Role center Page

result will show in “Cash Flow Forecast” section inside the role center.

Inflows: customers, sales orders, budgets.
Outflows: vendors, purchase orders, salaries, taxes.

Note: In order to see the results on the Role Center page, you need to choose the appropriate Cash Flow Forecast Card marked as ‘Show in Role Center.’ Only one Cash Flow Forecast dashboard will be displayed at a time. If a different forecast was previously shown and you select another one now, you will be asked to confirm disabling the earlier dashboard and displaying the current one.

Cash Flow Statistics

Cash flow statistics you check from the Cash Flow Forecast card -> Cash Flow Forecast -> Statistics.

Cashflow Forecast statistics option in Business Central system
Cashflow Forecast statistics option
Cash Flow Forecast Statistics
Cash Flow Forecast Statistics

Standard Report : Cash Flow Forecast

Cash Flow Forecast report available under Reports -> Cash Flow date List

Cashflow Forecast standard report
Cashflow Forecast standard report
Cash flow report running options
Cash flow report running options

Choose the options as per requirement to get result. Sample result is as follows for reference.

Cash flow report date list sample result in Business Central
Cash flow report date list sample result in Business Central

Example Scenario

Suppose this month your forecast shows:
Expected Inflows: 10,00,000 (customer payments)
Expected Outflows: 7,50,000 (bills, salaries, expenses)

Result -> You will have a net surplus of 2,50,000.
This helps you decide whether to save, invest, or clear debt.

Best Practices for Beginners

  • Update forecasts regularly – don’t rely on old data.
  • Always include small but regular expenses.
  • Run “what-if” scenarios for delayed customer payments.
  • Compare forecasts with actual results to improve accuracy.

FAQ: Cash Flow Forecasting in Business Central

What is Cash Flow Forecasting?

Cash Flow Forecasting is predicting how much money will come into your business (inflows) and how much will go out (outflows) in the future.
It helps you answer: “Will I have enough money to run my business in the coming weeks or months?

Why is Cash Flow Forecasting important?

Because even if sales look good, your business can get stuck if you don’t have enough cash to pay bills, salaries, or vendors. Forecasting gives you a clear picture so you can plan ahead and avoid surprises.

Why should I use Business Central for Cash Flow Forecasting?

Business Central makes the whole process easier by:
Pulling data from sales, purchases, budgets, and expenses automatically.
Showing cash movement in simple charts.
Allowing “what-if” scenarios (like late customer payments).
Helping you decide when to invest or when to hold back.

How do I set up Cash Flow Forecasting in Business Central?

You have two options:
Assisted Setup (Wizard): Step-by-step guide that asks you simple questions and sets everything up.
Manual Setup: Create your own Cash Flow Forecast Card and worksheet for full control.

What do I need to provide during setup?

Which cash/bank accounts to include.
How often to update forecasts (daily, weekly, or monthly).
Tax payment frequency and related G/L accounts.
Whether to use AI-based forecasting (optional).

Can I see forecasts on the Role Center Dashboard?

Yes. Just mark your Cash Flow Forecast Card as “Show in Role Center.”

How do I update my forecasts?

Go to the Cash Flow Worksheet -> click “Suggest Worksheet Lines” -> choose your options -> and register the changes. This keeps your forecast fresh and accurate.

Conclusion

Cash Flow Forecasting in Business Central is not just a finance feature = it’s a business survival tool. With just a few clicks, you get a clear picture of your cash position, avoid surprises, and plan confidently for the future.
If you’re new to Business Central, start with this guide, set up your first forecast, and take control of your company’s financial health.

Stay tuned to NavisionPlanet for more simple, step-by-step functional guides on Business Central.

Jubel
Jubelhttps://www.navisionplanet.com
Jubel Thomas Joy, a 18+ year Microsoft Dynamics 365 Business Central/NAV/Navision expert, founded "Navision Planet" in 2009. Certified in Business Central , D365 - Commerce and many more. He blogs on the latest updates and various modules of Business Central & LS Central, showcasing expertise in SQL, Microsoft Power Platforms, and over 150 organizations of work experience.

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