This is a revision resource to revise Cashflow Forecasts and is one part of a pack / Workbook to revise Accounts and Finance. This resource has 2 versions (standard / Difficult) and will be part of a Full Revision Pack to cover:
- Breakeven
- Cashflow Forecasts
- Sources of Finance
- Income Statements
- Balance Sheets
- Ratios
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This worksheet has been designed for GCSE / iGCSE but is also very useful for A Level and IB Students.
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This Worksheet has the following Learning Objectives:
- Revise all aspects of Cashflow Forecast
- Know how to complete all calculations (Inflows / Outflows / Net Cashflow / Opening Balance / Closing Balance)
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Resources to run the lesson(s) included in this download:
- Worksheet based on a Scenario
- 2 versions - easier based on Average Monthly Costs / More difficult based on predicted sales
- Full teacher answers
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The aim of all my resources is to provide lessons / activities of good quality that will add value to your lessons / schemes of work.
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All activities and resources have been used in classes and any errors will be fixed and resources updated as soon as I am aware them. I have priced my resources at what I consider to be a reasonable cost based upon the amount of effort and work I have put into them but all comments and suggestions are very welcome and will be used to improve future resources.
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If you have an idea for a topic / resource that you would like to see, feel free to leave a comment.
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The contents of this page and all downloaded materials are copyrighted Taylor Teaching Resources.
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See our other resources for Business Studies, Computer Science and ICT here
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