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Developing a Cash Flow from a Budget by 
            Hugh Garai

Purpose

This financial skills activity gives you practice in developing a cash flow from information in a budget.

Benefits

Budgets provide an overview of whether expenditure will be covered by income. Cash flow forecasts enable you to know whether you have sufficient cash to fund your obligations.

Audience

For line managers or those with financial responsibility in their jobs.

Learning method

Practical two part activity offering the opportunity to practice developing a cash flow forecast.

Time to Complete

30

Length

6 pages

Participants

1

Price

£5 Pounds Sterling
(inc. VAT)

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