{"id":37761,"date":"2024-02-14T07:08:20","date_gmt":"2024-02-14T07:08:20","guid":{"rendered":"https:\/\/www.process.st\/templates\/pro-forma-cash-flow-statement-template\/"},"modified":"2024-03-05T17:12:15","modified_gmt":"2024-03-05T17:12:15","slug":"pro-forma-cash-flow-statement-template","status":"publish","type":"post","link":"https:\/\/www.process.st\/templates\/pro-forma-cash-flow-statement-template\/","title":{"rendered":"Pro Forma Cash Flow Statement Template"},"content":{"rendered":"\n<section id=\"identify-the-beginning-cash-balance\"> \n <h2>Identify the beginning cash balance<\/h2>\n <div class=\"text-content\">\n   This task involves determining the amount of cash available at the beginning of the period. It is crucial to accurately identify the beginning cash balance as it serves as the starting point for all cash flow calculations. A higher or lower than accurate beginning cash balance can result in incorrect projections for future cash flows. Are there any specific resources or tools you use to identify the beginning cash balance? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Beginning Cash Balance <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"calculate-cash-inflow-from-operating-activities\"> \n <h2>Calculate cash inflow from operating activities<\/h2>\n <div class=\"text-content\">\n   In this task, we calculate the cash inflow generated from the company's day-to-day operations. Cash inflow from operating activities includes revenue from sales, customer payments, and interest received. It is essential to accurately calculate cash inflow from operating activities to understand the company's core cash generation capability. Have you encountered any challenges or complications when calculating cash inflow from operating activities? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Revenue from Sales <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Customer Payments <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Interest Received <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"determine-cash-inflow-from-investing-activities\"> \n <h2>Determine cash inflow from investing activities<\/h2>\n <div class=\"text-content\">\n   This task involves evaluating the cash inflow resulting from the company's investment activities, such as selling an asset or earning dividends from investments. Accurately determining cash inflow from investing activities allows us to assess the company's ability to generate returns from its investments. Have you faced any issues or complexities when calculating cash inflow from investing activities? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Cash Inflow from Asset Sales <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Dividends Received <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"identify-cash-inflow-from-financing-activities\"> \n <h2>Identify cash inflow from financing activities<\/h2>\n <div class=\"text-content\">\n   In this task, we identify the cash inflow resulting from the company's financing activities, including raising capital through debt or equity issuance. Accurate identification of cash inflow from financing activities helps evaluate the company's ability to attract external funding. Have you encountered any challenges or difficulties when identifying cash inflow from financing activities? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Cash Inflow from Debt Issuance <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Cash Inflow from Equity Issuance <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"sum-up-the-total-cash-inflow\"> \n <h2>Sum up the total cash inflow<\/h2>\n <div class=\"text-content\">\n   This task involves summing up the cash inflow from operating activities, investing activities, and financing activities to calculate the total cash inflow. The total cash inflow provides an overview of the net cash generated during the period. Accurate calculation of the total cash inflow is essential for a comprehensive understanding of the company's cash position. Have you faced any difficulties or complications when calculating the total cash inflow? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Total Cash Inflow <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"calculate-cash-outflow-for-operating-activities\"> \n <h2>Calculate cash outflow for operating activities<\/h2>\n <div class=\"text-content\">\n   In this task, we determine the cash outflow resulting from the company's day-to-day operations, including expenses, payments to suppliers, and employee salaries. Accurate calculation of cash outflow for operating activities helps assess the company's cash management efficiency. Have you encountered any challenges or complexities when calculating cash outflow for operating activities? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Expenses <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Payments to Suppliers <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Employee Salaries <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"determine-cash-outflow-for-investing-activities\"> \n <h2>Determine cash outflow for investing activities<\/h2>\n <div class=\"text-content\">\n   This task involves evaluating the cash outflow resulting from the company's investment activities, such as purchasing assets or making investments. Accurately determining cash outflow from investing activities provides insights into the company's allocation of resources. Have you faced any issues or complications when calculating cash outflow from investing activities? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Cash Outflow for Asset Purchases <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Investment Expenditures <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"identify-cash-outflow-for-financing-activities\"> \n <h2>Identify cash outflow for financing activities<\/h2>\n <div class=\"text-content\">\n   In this task, we identify the cash outflow resulting from the company's financing activities, including repayment of debt or payment of dividends. Accurate identification of cash outflow from financing activities helps assess the company's financial obligations. Have you encountered any challenges or difficulties when identifying cash outflow from financing activities? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Cash Outflow for Debt Repayment <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Dividend Payments <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"sum-up-the-total-cash-outflow\"> \n <h2>Sum up the total cash outflow<\/h2>\n <div class=\"text-content\">\n   This task involves summing up the cash outflow from operating activities, investing activities, and financing activities to calculate the total cash outflow. The total cash outflow provides an overview of the net cash used during the period. Accurate calculation of the total cash outflow is crucial for understanding the company's cash management effectiveness. Have you faced any difficulties or complications when calculating the total cash outflow? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Total Cash Outflow <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"subtract-cash-outflow-from-cash-inflow\"> \n <h2>Subtract cash outflow from cash inflow<\/h2>\n <div class=\"text-content\">\n   This task involves subtracting the total cash outflow from the total cash inflow to calculate the net cash flow for the period. The net cash flow provides insights into the company's cash surplus or deficit. Accurate calculation of the net cash flow is essential for understanding the overall cash position. Do you face any challenges or complexities when subtracting cash outflow from cash inflow? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Net Cash Flow <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"add-the-beginning-cash-balance-to-find-the-closing-cash-balance\"> \n <h2>Add the beginning cash balance to find the closing cash balance<\/h2>\n <div class=\"text-content\">\n   In this task, we add the beginning cash balance to the net cash flow to calculate the closing cash balance for the period. The closing cash balance indicates the amount of cash available at the end of the period. Accurate calculation of the closing cash balance helps assess the company's liquidity position. Have you encountered any challenges or difficulties when calculating the closing cash balance? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Closing Cash Balance <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"approval-finance-manager-to-review-the-pro-forma-cash-flow-statement\"> \n <h2>Approval: Finance Manager to review the pro forma cash flow statement<\/h2>\n <div class=\"approval-content\"> \n  <div class=\"header\"> \n   <div class=\"list-title\">\n    Will be submitted for approval:\n   <\/div> \n  <\/div> \n  <div class=\"approval-rule-subject-tasks-list\"> \n   <ul class=\"list\"> \n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Calculate cash inflow from operating activities<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li>\n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Determine cash inflow from investing activities<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li>\n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Identify cash inflow from financing activities<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li>\n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Sum up the total cash inflow<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li>\n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Calculate cash outflow for operating activities<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li>\n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Determine cash outflow for investing activities<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li>\n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Identify cash outflow for financing activities<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li>\n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Sum up the total cash outflow<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li>\n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Subtract cash outflow from cash inflow<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li>\n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Add the beginning cash balance to find the closing cash balance<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li> \n   <\/ul> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"incorporate-any-adjustments-as-suggested-by-finance-manager\"> \n <h2>Incorporate any adjustments as suggested by Finance Manager<\/h2>\n <div class=\"text-content\">\n   This task involves incorporating any adjustments or recommendations provided by the Finance Manager to ensure the accuracy of the cash flow statement. The Finance Manager's input helps address any potential errors or inaccuracies in the cash flow statement. Are there any adjustments or recommendations made by the Finance Manager that need to be incorporated? \n <\/div> \n <div class=\"textarea-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Adjustments or Recommendations <\/label> <textarea placeholder=\"Something will be typed here...\" rows=\"3\" disabled class=\"form-control\"><\/textarea> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"doublecheck-all-calculations-in-the-cash-flow-statement\"> \n <h2>Double-check all calculations in the cash flow statement<\/h2>\n <div class=\"text-content\">\n   In this task, we perform a thorough review of all calculations and figures in the cash flow statement to ensure their accuracy. Double-checking is crucial to identify any potential errors or discrepancies and maintain the integrity of the cash flow statement. Have you encountered any challenges or complications during the double-checking process? \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Cash Flow Statement Review <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"prepare-and-finalize-the-pro-forma-cash-flow-statement-report\"> \n <h2>Prepare and finalize the pro forma cash flow statement report<\/h2>\n <div class=\"text-content\">\n   This task involves preparing and finalizing the pro forma cash flow statement report based on the calculated figures and reviewed data. The pro forma cash flow statement report provides a comprehensive overview of the company's anticipated cash flows. Are there any specific requirements or formats for the pro forma cash flow statement report? \n <\/div> \n <div class=\"file-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Pro Forma Cash Flow Statement Report <\/label> \n   <div class=\"file-container\"> <button type=\"button\" disabled class=\"btn btn-default\"> <i class=\"fa fa-upload btn-icon\"><\/i> File will be uploaded here <\/button> \n   <\/div> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"approval-cfo-to-approve-the-final-report\"> \n <h2>Approval: CFO to approve the final report<\/h2>\n <div class=\"approval-content\"> \n  <div class=\"header\"> \n   <div class=\"list-title\">\n    Will be submitted for approval:\n   <\/div> \n  <\/div> \n  <div class=\"approval-rule-subject-tasks-list\"> \n   <ul class=\"list\"> \n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Prepare and finalize the pro forma cash flow statement report<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li> \n   <\/ul> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"document-the-approved-pro-forma-cash-flow-statement-for-future-reference\"> \n <h2>Document the approved pro forma cash flow statement for future reference<\/h2>\n <div class=\"text-content\">\n   In this task, we document the approved pro forma cash flow statement for future reference and record-keeping. Documenting the approved cash flow statement ensures accessibility and traceability of financial information. Where do you usually document and store approved financial statements for future reference? \n <\/div> \n <div class=\"textarea-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Approved Pro Forma Cash Flow Statement Documentation <\/label> <textarea placeholder=\"Something will be typed here...\" rows=\"3\" disabled class=\"form-control\"><\/textarea> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"disseminate-the-approved-pro-forma-cash-flow-statement-to-necessary-stakeholders\"> \n <h2>Disseminate the approved pro forma cash flow statement to necessary stakeholders<\/h2>\n <div class=\"text-content\">\n   This task involves disseminating the approved pro forma cash flow statement to necessary stakeholders, such as executives, investors, and board members. Communicating the cash flow information allows stakeholders to make informed decisions and understand the company's financial health. Who are the usual stakeholders you disseminate the approved cash flow statement to? \n <\/div> \n <div class=\"multi-choice-content form-field-content\"> \n  <div class=\"form-group\"> <label> Stakeholders <\/label> <select disabled class=\"form-control\"> <option value=\"\">Multiple options can be selected from this list<\/option> <\/select> \n  <\/div> \n  <ul class=\"items\"> \n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       1 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Executives \n    <\/div> <\/li>\n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       2 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Investors \n    <\/div> <\/li>\n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       3 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Board Members \n    <\/div> <\/li>\n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       4 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Regulatory Authorities \n    <\/div> <\/li>\n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       5 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Auditors \n    <\/div> <\/li> \n  <\/ul> \n <\/div> \n<\/section>\n","protected":false},"excerpt":{"rendered":"<p>Identify the beginning cash balance This task involves determining the amount of cash available at the beginning of the period. It is crucial to accurately identify the beginning cash balance as it serves as the starting point for all cash flow calculations. A higher or lower than accurate beginning cash balance can result in incorrect [&hellip;]<\/p>\n","protected":false},"author":3,"featured_media":0,"comment_status":"closed","ping_status":"open","sticky":false,"template":"","format":"standard","meta":{"_acf_changed":false,"ep_exclude_from_search":false,"cover_icon_emoji":"\ud83d\udcb0","cover_icon_url":"","tasks_count":"18","template_description":"Efficiently manage your business finances with our Pro Forma Cash Flow Statement Template, guiding you through cash analysis, statement preparation, and approvals.","template_id":"tzd04nRl9k2KOH3aHA9Mvw","task_0":"Identify the beginning cash balance","task_slug_0":"identify-the-beginning-cash-balance","task_1":"Calculate cash inflow from operating activities","task_slug_1":"calculate-cash-inflow-from-operating-activities","task_2":"Determine cash inflow from investing activities","task_slug_2":"determine-cash-inflow-from-investing-activities","task_3":"Identify cash inflow from financing 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