This activity is useful for anyone that is studying a course which requires them to understand what a cash-flow forecast is, and complete calculations. It includes a video that explains what a cash-flow forecast is and the worksheet attached allows learners to complete the missing boxes whilst watching the video.
This activity will help learners calculate the following:
-Total inflows
-Total outflows
-Net cash flow
-Opening balance
-Closing balance
Useful for GCSE Business, iGCSE Business and A Level Business students.
#EDEXCEL Business #AQA Business #BTEC Business #OCR Business
Something went wrong, please try again later.
This resource hasn't been reviewed yet
To ensure quality for our reviews, only customers who have downloaded this resource can review it
Report this resourceto let us know if it violates our terms and conditions.
Our customer service team will review your report and will be in touch.