DOES YOUR ORGANISATION MONITOR AND FORECAST CASH FLOW REGULARLY (BASELINE), AND WILL IT BY 2020 (TARGET)? Guidance - The availability of cash is important to ensure the funds are available to meet payment commitments when they are due. A cash-flow forecast, when populated correctly, provides a regular forecast of your expectation of available cash. Supporting documentation: Cash flow document. Please include the date your organisation's cashflow was last revised in the notes field below. Contact - Sarah Sanders (sarah.sanders@rspb.org.uk) or Kiragu Mwangi (Mike.Kiragu@birdlife.org)