13-week cash flow:
your quarter, week by week

The methodology used by funds, M&A and restructuring teams to track cash week by week. Orama runs the 13-week cash flow forecast on your own data, automatically. The level of control you need when every week counts. 30-min demo · We reply within 24 hours · No card required

Feature

13-week cash flow: your quarter, week by week

What is a 13-week cash flow forecast?

A 13-week (one quarter) cash flow forecast with weekly detail of money in and out. It is the de facto standard whenever liquidity is critical and you need to plan down to the last euro.

When it is used

M&A deals and financial due diligence.
Restructuring or turnaround processes.
Refinancing and negotiations with your banks.
Any moment of liquidity pressure.

Your 13-week model, without building it in Excel

Orama builds the 13-week table from your real data and keeps it up to date. Export the output for your board, your fund or your bank.

Download the 13-week cash flow template

Get a ready-to-use template and compare it with what Orama does automatically.

Frequently asked questions

What is the 13-week cash flow?+
A 13-week cash flow forecast with weekly detail, used above all in M&A, restructuring and due diligence.
Why 13 weeks?+
Because they add up to a quarter: the ideal horizon for managing liquidity operationally without losing weekly detail.

Orama Academy

Learn how to get the most out of Orama. Guides, videos and training, step by step.

Go to Academy

Start controlling your cash flow this week

7 days free. No card. No commitment. And if you'd like us to walk you through it, we'll book a 30-minute demo.