How to Create a Cash Flow Forecast
How to Create a Cash Flow Forecast: learn how to create and manage this valuable tool to help you track your cash movement.
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How to Create a Cash Flow Forecast
Managing cash is a key priority in any business, but especially so in a tough economic environment. One of the key tools in cash management is a forward-looking cash flow forecast. On hearing this, many business owners tend to switch off, as creating and maintaining a forecast sounds too complex for their small business…
In this webinar, you will be shown that cash flow forecasting is straightforward and you will be taught how to create and use a forecast for your business.
What will be covered?
- Reasons every business needs a cash flow forecast
- How cash flow forecast differs from a profit and loss forecast
- Steps to build a cash flow forecast using a real-life small business case study
- Running through a 'what-if' scenario to accommodate increase in costs
- Overview of software available to help build a forecast
- How to use your forecast to help you decide on the right actions for your business
This event is fully funded and FREE for you to attend. In return, the Growth Hub ask for a few minutes of your time to complete an SME Enrolement form, if your business has not done so already.