This PowerPoint contains a detailed account of:
The meaning and purpose of cash flow forecasts
The interpretation and amendment of simple cash flow forecasts: calculating opening and closing balances
Different methods of improving cash flow
Get this resource as part of a bundle and save up to 4%
A bundle is a package of resources grouped together to teach a particular topic, or a series of lessons, in one place.
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.
£4.00