Our Cash Flow projection outlines the expected movement of funds within the company over the five years. In the early stages, the cash flow may indicate negative figures as we allocate resources to development and marketing activities. However, as revenues start to flow in from year two onwards, we anticipate a positive cash flow. This cash will be strategically managed, with a significant portion reinvested in the business for growth, as well as allocated for potential partnerships, marketing expansion, and any operational expenses. By maintaining a healthy cash flow position, we aim to navigate the challenges of rapid growth while ensuring the sustainability and long-term success of our company
Contact contato@jairolima.com to get more information on the project