How does forecasting work?
How do you build your central forecast?
How can I change the level at which I edit my forecast?
How do forecast scenarios work?
How do I manage my VAT forecast on Fygr (monthly VAT)?
How does Fygr update my forecast based on the latest bank movements?
How can I compare my Fygr forecast with my actual?
How do I manage my VAT forecast on Fygr (quarterly or annual VAT)?
I've used several methods for projecting the forecast on the same line: how do they interact with each other?