How to Create a Cash Flow Forecast: learn how to create and manage this valuable tool to help you track your cash movement.
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, we will show you that cash flow forecasting is straightforward and teach you how to create and use a forecast for your business.
This Webinar Will Cover:
- 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
- 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
Who Should Attend:
Business owners and finance managers, who are responsible for cash management and would like to improve the financial performance of their businesses. This webinar is aimed at SME businesses.
About the Speaker:
Alice Davidchack is a Chartered Management Accountant and a Business Coach. She runs her practice from North West Leicestershire, working with business owners throughout the UK
This presentation is delivered in partnership with Business Gateway Growth Hub and Business Engine Room and is part-funded by the European Regional Development Fund. Places are limited and priority will be given to trading SMEs based in Leicester and Leicestershire.