For effective Financial Planning and Management businesses will ensure they have a Budget, carry out regular comparisons and ensure they are managing their Cash Flow.
Every business needs to have plans in place for managing their money effectively.
During this workshop, Participants will understand how to establish a Budget and do a Cash Flow Forecast, how to compare these to outcomes and how to analyse the information.
The Budgets and Cash Flow workshop is delivered through a “hands on” practical approach to ensure delegates get the most out of the course and can apply what they have learnt with confidence.
Delegates will take part in creating a budget and will be provided with Templates.
Who is this Course aimed at?
- Small Business Owners
- Finance Managers
- Senior Accounts staff
- How to work out Profit Margins and Break-Even
- Business Plans and Financial Forecasts
Contact Us to find out more about this workshop.