🔴 Lots of uncertainty over monthly cash-flow High risk: Does not have strong sight to cash-flow situation mostly. Reflection: Cash-flow situation for the next twelve months to be studied and a risk mapping is to be done by Finance, with clear recommendation on preferred cash-flow based on planned expenditure, recurring or core costs etc. Fundraising and organisation financing plan to be developed with the aid of FF (or other external experts) level Financial guidance; simultaneous integration of this financing plan with fundraising plan is to be driven by CEO. Others - Action: Delegate cash-flow projection and analysis project. Develop a financing strategy and plan post cash-flow analysis. Consult external financial specialist. Others - Notes for Development: Does not have strong sight to cash-flow situation mostly. Cash-flow situation is hardly in control ever and it lead to high financial stress to the organisation. Consider developing new income lines for mitigating any risks around cash-flow and its predictability.