Cash Flow Forecast Presentation & worksheet
A full lesson resource including objectives and plenary.
This teaches terminology (Cash Flow Forecast, Outflows, Inflows, Net Cash Flow). Students are taught using the presentation and consolidate learning using the worksheet which encourages them to calculate and interpret a cash flow forecast.
This will take approximately one to two lessons and your own activities from the text book or examination board can be added for further assessment of learning.
Resources are fully adaptable and can be used for IB and A Level introduction too.
This should save you a lot of planning time!