The latest in the new series of PowerPoint resources aimed at assisting teachers with the delivery of the WJEC/Eduqas A-level Business specification but is suitable for all boards. These slides and hand out are designed to support the delivery of the Component One topic of cash flow. They explain what is meant by cash flow and cash flow forecasts and demonstrate how to construct, calculate and interpret cash flow forecasts. The slides then evaluate the impact of a cash flow forecast on a business and its stakeholders before explaining some of the main causes of cash flow problems and the strategies businesses can use to improve cash flow. Finally the presentation considers the benefits and limitations of cash flow forecasts. The slides contain the Quick Fire Five questions, calculation practice questions and also a practice essay (all with suggested solutions). In addition to the main PowerPoint a PDF copy of the notes has been provided to assist with pupil hand outs.
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