{"type":"video","version":"1.0","html":"<iframe src=\"https://www.loom.com/embed/5919e4254e5d463f802ac5769554c032\" frameborder=\"0\" width=\"1464\" height=\"1098\" webkitallowfullscreen mozallowfullscreen allowfullscreen></iframe>","height":1098,"width":1464,"provider_name":"Loom","provider_url":"https://www.loom.com","thumbnail_height":1098,"thumbnail_width":1464,"thumbnail_url":"https://cdn.loom.com/sessions/thumbnails/5919e4254e5d463f802ac5769554c032-8bee044ea129978b.gif","duration":256.6,"title":"Astero Group's Cash Flow Template Overview 💰","description":"In this video, I’m excited to share our cash flow template, specifically a weekly cash forecast tool that my team has successfully used with various clients. This tool is available for free because I believe it’s essential for tracking cash flow, especially for firms under $2 million in revenue. I’ll walk you through both the Excel and Google Sheets versions, highlighting how to use them effectively. Please make sure to update your forecasts regularly for the best accuracy. Let’s dive in!"}