In this session led by Raymond Fitzpatrick at Profitual, you will learn more about the process of financial forecasting by shifting the focus from mere "number-crunching" to strategic storytelling and operational planning. You will explore the essential components of a robust forecast—including revenue drivers, expense scaling, and cash flow management—while highlighting best practices for building a model that serves as both a roadmap for your internal growth and a compelling narrative for potential investors.
By the end of this webinar, you will understand how to transform raw assumptions into a dynamic financial tool that validates your business model, mitigates risk, and demonstrates the fiscal discipline necessary to successfully raise capital