pptx, 736.17 KB
pptx, 736.17 KB

This PowerPoint, “Forecasting and Managing Cash Flows,” is a focused Cambridge A-Level Business (9609) study guide that emphasizes cash as the lifeblood of a business—essential for survival, liquidity, and daily operations.

It explains the critical difference between profit and cash, introduces the cash flow cycle (working capital cycle), and uses real case studies like Tech Innovations Ltd to illustrate how profitable companies can still fail due to poor cash management.

The guide is structured into seven chapters, covering forecasting, interpretation, problem causes, improvement strategies, and exam practice.

Ideal for students and educators looking for a clear, practical, and exam-focused resource on cash flow management.

Reviews

Something went wrong, please try again later.

This resource hasn't been reviewed yet

To ensure quality for our reviews, only customers who have purchased this resource can review it

Report this resourceto let us know if it violates our terms and conditions.
Our customer service team will review your report and will be in touch.