Because of extreme constrain on our cash position, could you please update available cash amount as of today or yesterday after net off expected payment in March?
You can use easy template as follows:
Cash as of today or yesterday xxx
Outstanding cheque (xxx)
Expected payment to contractor/supplier this month (xxx)
เงินที่ตัองกันไวักับแบงค์เอามาใช้ไม่ได้ (xxx)