Common use of Cash Flow Forecasting Clause in Contracts

Cash Flow Forecasting. Manager will prepare a detailed cash flow analysis sufficient to provide Owner with a forecast of account deficits. Such forecasts will be updated monthly, or more frequently as dictated by field conditions or as directed by Owner.

Appears in 9 contracts

Samples: Property Management Agreement (One Chestnut Realty LLC), Property Management Agreement (One Chestnut Realty LLC), Property Management Agreement (Boston Capital Real Estate Investment Trust Inc)

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