Many businesses, especially retail, go through cash gap situations now and then. This is merely the time interval between the day when a business pays cash for their inventory, and the date it receives money from clients for the same inventory. This can cause many problems for a business. One of the ways a business can better understand these time frames is by using a free cash gap Excel template.
By using this template, a business can plan ahead to the best of their ability. This template can become a valuable tool that can help predict these gap situations.