Cash Flow Forecasts - Forecasting Inflows & Outflows - Improving Cash Flow

Cash Flow Forecasts - Forecasting Inflows & Outflows - Improving Cash Flow
Cash Flow Forecasts - Forecasting Inflows & Outflows - Improving Cash Flow
Cash Flow Forecasts - Forecasting Inflows & Outflows - Improving Cash Flow
Cash Flow Forecasts - Forecasting Inflows & Outflows - Improving Cash Flow
Cash Flow Forecasts - Forecasting Inflows & Outflows - Improving Cash Flow
Cash Flow Forecasts - Forecasting Inflows & Outflows - Improving Cash Flow
Cash Flow Forecasts - Forecasting Inflows & Outflows - Improving Cash Flow
Cash Flow Forecasts - Forecasting Inflows & Outflows - Improving Cash Flow
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3 MB|72 pages
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Product Description
A great and very detailed lesson on calculating cash flow forecasts (could easily be used across 2-3 lessons). This lesson introduces the key theory behind cash flow forecasts and then sets up students to complete a number of blank cash flow flows using the data provided. The lesson also looks at the pros and cons of cash flow forecasts and what a cash flow statement is. A great selection of resource that should make this finance topic easy to understand and engaging. Answers are provided for most of the worksheets. The lesson also includes a 12 month cash flow forecast task - a great activity that can really test a students understanding. Perfect lesson for Business Studies and Accountancy.
Total Pages
72 pages
Answer Key
Included
Teaching Duration
2 hours
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