Hi all!
Need some advise on how to deal this situation. Everytime I update the program monthly, our cashflow is below as planned.Project manager want me to recover the cashflow for us to obtain exactly the baseline end date of the project. This cashflow recovery is happened twice already, and I am very concern what would happen in the future if we will keep doing cashflow recovery. My cashflow chart has only two elements, planned amount and recovery amount. There is no actual amount. Now my question, is this kind of practice accepted in planning procedure? Any explanation to clear this subject? Hope you understand my question. Thanks PP members!