
Premium Lesson Resource: Mastering Cash Flow (A Level Business)
This comprehensive lesson is designed to teach A Level Business students how to analyse cash flow forecasts with confidence.
Step-by-step guidance covers the value of cashflow forecasting, why businesses forecast cash flow, how to analyse timing of inflows and outflows, working capital and factors influencing the length of the working capital cycle.
Engaging, progressive student activities develop understanding through increasing complexity, real business examples, and data interpretation.
Includes industry context and past paper exam questions to consolidate learning and boost exam readiness.
Fully supported with teacher notes and model answers in the Notes section.
Perfect for building skills in budgeting, financial decision-making, and tackling exam questions with precision.
References: AQA business A level curriculum, Wolinski and Coates
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.