pptx, 6.6 MB
pptx, 6.6 MB
docx, 3.52 MB
docx, 3.52 MB

This is a NEW BLUE FRONT SLIDE version
It is a complete lesson including a PPT and a worksheet. It is written by Sarah Hilton for Revisionstation

This lesson covers the following topics:

a) Relevance of a business plan in obtaining finance
b) Interpretation of a simple cash-flow forecast and
calculations based on changes in the cash-flow variables
c) Use and limitations of a cash-flow forecast

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