Pro Forma Cash Flow Statement

Pro forma cash flow statement refers to the cash flow statement prepared by the business entity to prepare the projections of the amount of cash inflow and cash outflow they expect to have in the future from the different activities, including operating and investing, and financing activities.

Pro Forma Cash Flow Statement

It is an integral part of financial planning and forecasting. Management uses it to quantify the strategic initiatives irrespective of the firm's size or its subsidiary. However, it requires continuous updation and monitoring. It should be treated as a planning tool which provides estimates rather than actual prediction of future cash inflow and outflow.

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