​​Cash Flow Analysis & Forecasting for Smarter Financial Decisions

​Need a clearer view of your cash flow?​

Whether you’re worried about covering operational expenses or planning to scale, getting a grip on your cash flow is the smartest move you can make.​At Orbit, we simplify cash flow analysis, build robust cash flow forecasting models, and guide you on optimizing every dollar. So you can make informed decisions, manage financial risk, and keep your business thriving.
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Real-Time Tracking

Real-Time Tracking

Predictive Forecasting

Predictive Forecasting

Working Capital Optimization

Working Capital Optimization

DCF Business Valuation

DCF Business Valuation

Risk Mitigation Planning

Risk Mitigation Planning

Investor-Ready Flow Models

Investor-Ready Flow Models

What is Cash Flow Analysis ?

Cash flow analysis is the process of tracking, reviewing, and interpreting the cash inflows and outflows in your business. Unlike your income statement, which might show profits on paper, a cash flow analysis tells you the real story:

  • How long is your cash runway at your current burn rate?
  • Based on your forecast, in which period could you run out of cash?
  • Can you cover short-term obligations without dipping into reserves?

This type of flow analysis goes beyond spotting “positive cash flow”-it helps you see how your accounts receivable, accounts payable, capital expenditures, and operational expenses all impact your cash position.

Cash Flow Analysis and Management

Modeling benefits beyond the numbers

A cash flow forecast estimates future cash inflows and outflows over weeks, months, or quarters. It’s one of the most powerful tools in financial management. Even profitable businesses can get into trouble if cash gets tied up in receivables or delayed payments. A cash flow projection keeps surprises off your doorstep.

Avoid cash shortfalls

Ensure you have enough liquidity to pay employees, suppliers, and taxes without stress.

Spot future gaps early

Plan for high expenses or slow-paying customers months in advance.

Support confident growth

Invest in new equipment, staff, or expansion knowing your cash flow can handle it.

Reassure investors & lenders

Show a proactive, disciplined, and predictable approach to managing your capital.

How We Optimize Your Cash Flow

Cash flow management isn’t just a spreadsheet-it’s a strategy. Our experts build cash flow optimization plans tailored to your unique business, so you maintain a healthy balance between paying bills and investing in growth.

The Discounted Cash Flow (DCF) Analysis Model Explained

If you’re exploring your business’s long-term value-say for an acquisition or investment-discounted cash flow analysis is key:

  • It forecasts future cash flows (years ahead), then discounts them back to today’s dollars using a discount rate.
  • This way, you understand what those future cash inflows and outflows are truly worth in present terms.

A solid discounted cash flow analysis model lets you calculate the real value of your company’s operations, factoring in risk, time, and expected returns.

Accounts Receivable

Can we accelerate collections or tighten payment terms with your clients without causing friction?

Accounts Payable

Are there opportunities to stretch payments, negotiate better terms, or consolidate accounts without harming vendor relationships?

Operational Expenses

What non-essential costs can be safely trimmed, consolidated, or deferred right now?

Cash Reserves

How much buffer capital should you keep on hand versus reinvesting for compound growth?

Interest Rates & Debt

Could refinancing or restructuring your current debt obligations significantly improve short-term cash flow?

FP&A & Financial Modeling to Power Decisions

Financial Planning and Analysis (FP&A) connects your income statement, balance sheet, and cash flows to guide every major decision.

Scenario Modeling

We create financial models to simulate different growth scenarios.

CapEx Planning

Build capital expenditure plans to ensure returns beat costs.

Live Dashboards & KPIs

Use dashboards and KPIs to track cash flow management, profitability, and working capital.

Direct vs. Indirect Cash Flow Forecast

Direct Method

  • Starts with actual cash transactions (invoices, payments).
  • Great for short-term cash management.
  • Shows exact timing of cash movements.

Indirect Method

  • Starts with net income, adjusts for non-cash items (depreciation, inventory changes).
  • Often used for long-term planning & funding models.
  • Helps align cash with accrual-based financial statements.

Tailored, Transparent Pricing for your Business

Join businesses across the us and canada who trust orbit

Accounts Receivable Management

Starting From C$495 /mo

Book a Free Consultation

What's Included:

  • Creation and generation of customer invoices based on internal SOP
  • Monitoring of open invoices and receivables aging
  • Monthly accounts receivable aging report
  • Customer payment tracking and updates
  • Escalation to management of materially overdue balances
  • Coordination with bookkeeping for payment application
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Accounts Payable Management

Custom Pricing

Book a Free Consultation

What's Included:

  • Review and processing of vendor bills
  • Monitoring of outstanding payables and due dates
  • Monthly accounts payable aging report
  • Payment scheduling and payment run support
  • Vendor balance reconciliation and issue flagging
  • Coordination with bookkeeping for accurate coding and posting
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Cash Flow Reporting & Management Service

Custom Pricing

Book a Free Consultation

What's Included:

  • Monthly cash flow tracking of inflows and outflows
  • Rolling cash flow forecast across upcoming weeks and months
  • Early visibility into potential cash shortfalls and gaps
  • Receivables and payables timing review for cash impact
  • Working capital and cash reserve guidance
  • Cash flow dashboard with key liquidity metrics
  • Practical recommendations to optimize cash flow
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​Ready to Strengthen Your Cash Flow?

We’ll build your cash flow analysis, create a tailored discounted cash flow analysis model, and give you clear steps to optimize your working capital.

Trusted by high-
growth organizations

"I've been working with Orbit since the beginning of 2026 and couldn't be happier. They are professional, detail-oriented, responsive, and always timely. As the owner of a one-person corporation, I greatly appreciate having such a reliable accounting team in my corner. Highly recommended!"

Maja Djikic

Maja Djikic

Consultant

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Frequently Asked Questions

Analysis looks backward at actual cash movements; forecasting projects them forward to predict future positions.

Monthly is standard; fast-growing or cash-tight firms benefit from weekly 13-week rolling reviews.

The cash flow statement, plus your balance sheet (for assets & liabilities) and income statement (for profits & losses).

Yes! We’ll analyze your cash flow projections, look for ways to speed up receivables or restructure payables, and build a plan to stabilize cash.

Software shows the numbers; our FP&A team interprets them and adds strategy-turning data into actionable cash plans.

Disclaimer

This page is intended for general informational purposes only and does not constitute financial, tax, or investment advice. Each business is unique; please consult with a qualified financial professional to understand how these services apply to your circumstances. Past performance does not guarantee future results. All services subject to standard terms and conditions.