xlsx, 14.96 KB
xlsx, 14.96 KB
zip, 914 Bytes
zip, 914 Bytes

Use this template of a Cashflow Forecast to show the effects of inflows and outflows on Net Cashflow and therefore on Opening and Closing Balances.

I normally use this with students so that they can practice creating their own scenarios and check their maths is correct. They can also see the possible knock on consequences of making a mistake,

To see a full scheme of work, GCSE can be found here / A Level and IB can be found here.

The contents of this page and all downloaded materials are copyrighted Taylor Teaching Resources.

The aim of all my resources is to provide lessons / activities of good quality that will add value to your lessons / schemes of work without any extra planning.

All activities and resources have been used in class and any errors will be fixed and resources updated as soon as I am aware of any errors. I have priced my resources at what I consider to be a reasonable cost based upon the amount of effort and work I have put into them but all comments and suggestions are very welcome and will be used to improve future resources.

Please do leave a review and if you have an idea for a topic / resource that you would like to see (or improvement for this resource), feel free to contact me.

The contents of this page and all downloaded materials are copyrighted Taylor Teaching Resources.

See my other resources for Business Studies, Computer Science and ICT here

Creative Commons "NoDerivatives"

Reviews

5

Something went wrong, please try again later.

cstyles

2 years ago
5

Excellent resource, thank you. I'd love to know the password so I can add rows please, as the sheet is protected?

laba17290

6 years ago
5

vaggsean2

8 years ago
5

Great resource for my BTEC students!

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.