Overview

This help article describes the Cash Flows - Forecast screens of the Economics Project Info Tab.



Once all COGS details are entered, Atlas allows you to forecast your cash outflow. The cash flows forecast screen has a similar tree structure as the COGS screen. You will be able to view and edit the cash outflow for each month. To edit the data, you have to click New Revision. Enter the cash outflow amount directly under each month for the COGS line items.



Once you made all the changes, click on Submit Changes and then Saves Changes. As seen in the COGS screen, you can export data in an Excel file, show and hide various COGS levels, and upload data using the Excel template.