QIZI, S. X. M. Cash Flow Forecasting: Best Practices for Managing Treasury Operations. Journal of Research in Innovative Teaching and Inclusive Learning, [S. l.], v. 2, n. 5, p. 38–41, 2024. Disponível em: https://journals.proindex.uz/index.php/JRITIL/article/view/1280. Acesso em: 3 apr. 2026.