pptx, 1.02 MB
pptx, 1.02 MB
xlsx, 10.44 KB
xlsx, 10.44 KB
docx, 9.45 KB
docx, 9.45 KB
xlsx, 9.07 KB
xlsx, 9.07 KB

This full lesson, with companion activity, covers F2 of Unit 7: Business Decision Making. The lesson includes;

  • The purpose of cash flow forecasts
  • Inflows and outflows
  • Opening and closing balances
  • Interpreting a cash flow forecast

Learners will be provided with a data set to create a cash flow forecast using Excel/Google Sheets. Learners will then make a key business decision based on the forecast.

Review

1

Something went wrong, please try again later.

ShellyP

10 months ago
1

A very basic resource - would not recommend.

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.