search
chevron_backward

Business (9609) Forecasting and Managing Cashflow Revision Note

chevron_forward
visibility 15
star 4
bookmark Save
share Share
Psat Paper Lesson
crop_free

Hestia Laurent

notifications follow
Meta description: This file covers cash flow forecasting and management, detailing the process of tracking cash inflows and outflows for businesses. It discusses the importance of planning for liquidity, methods for improving cash flow, causes of cash flow problems, and strategies for managing short-term and long-term financial needs. It also explores cash management tools such as overdrafts, loans, asset sales, and trade receivables.
See More chevron_forward
files Study and Revision Guideupdate 2 months ago
close
Create Quiz
download Download keyboard_arrow_down
files+ 8000 Business (9609) resources in one placechevron_forward
Time To Test

Related Past Papers

Related Tutorials

warning Crash report