pptx, 4 MB
pptx, 4 MB

This PowerPoint introduces students to the cash flow forecasting concept. After completing this unit, students will be able to:

  • distinguish between profit and cash flow
  • explain the working capital cycle
  • construct and interpret cash flow forecasts
  • comment on the relationship between investment, profit and cash flow
  • evaluate possible strategies for dealing with cash flow problems.

Links to YouTube video explanations and a suggested past paper practice question are also suggested.

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