51ºÚÁÏ

Last updated

30 May 2022

pptx, 1.02 MB
pptx, 1.02 MB
xlsx, 10.44 KB
xlsx, 10.44 KB
docx, 9.45 KB
docx, 9.45 KB
xlsx, 9.07 KB
xlsx, 9.07 KB

This full lesson, with companion activity, covers F2 of Unit 7: Business Decision Making. The lesson includes;

  • The purpose of cash flow forecasts
  • Inflows and outflows
  • Opening and closing balances
  • Interpreting a cash flow forecast

Learners will be provided with a data set to create a cash flow forecast using Excel/Google Sheets. Learners will then make a key business decision based on the forecast.

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ShellyP

a year ago
1

A very basic resource - would not recommend.

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£4.00