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Collect and analyze relevant financial data to inform the forecasting process
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Project future sales based on historical data, market trends, and growth opportunities
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Estimate and forecast anticipated expenses, including operating costs, overheads, and investments
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Conduct a thorough cash flow analysis to ensure sufficient liquidity for business operations
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Project future revenues, costs, and expenses to determine the expected profitability of the business
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Perform sensitivity analysis to assess the impact of different scenarios on financial outcomes
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