Belfast Metropolitan College
Belfast Met is the largest further and Higher Education College in Northern Ireland and one of the largest in the UK.

Mastering Cash Flow Forecasting

Cash Flow Forecasting 
and 
users of Financial Statements 
1 / 15
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Slide 1: Tekstslide
TourismFoundation Degree

In deze les zitten 15 slides, met interactieve quiz, tekstslides en 1 video.

time-iconLesduur is: 60 min

Onderdelen in deze les

Cash Flow Forecasting 
and 
users of Financial Statements 

Slide 1 - Tekstslide

Learning Objective
Be able to describe the users of financial statements.

Understand the importance of cash flow forecasting and learn how to create a basic cash flow forecast.

Slide 2 - Tekstslide

Name one user of financial statements

Slide 3 - Woordweb

Slide 4 - Tekstslide

External or Internal users?

Slide 5 - Tekstslide

Activity 
Choose two internal and two external users and take notes on why they would need financial information.

Slide 6 - Tekstslide

What is Cash Flow Forecasting?
Cash flow forecasting is the process of estimating the timing and amount of cash inflows and outflows over a specific period.

Slide 7 - Tekstslide

Importance of Cash Flow Forecasting
Cash flow forecasting helps businesses anticipate potential cash shortages or surpluses, allowing for better financial planning and decision-making.

Slide 8 - Tekstslide

Components of Cash Flow Forecast
A cash flow forecast typically includes projected sales, expenses, and timing of payments and receipts.

Slide 9 - Tekstslide

Creating a Cash Flow Forecast
Step 1: Start with opening cash balance. 
Step 2: Add cash inflows. 
Step 3: Subtract cash outflows. 
Step 4: Calculate closing cash balance.

Slide 10 - Tekstslide

Slide 11 - Video

Activity 1 
Students will discuss a cash flow forecast and solutions together as a group.

Slide 12 - Tekstslide

Activity 2
Construct a cash flow forecast individually - paper based.

Slide 13 - Tekstslide

Excel sheet / Formulae
Needed for the following:
Total receipts 
Total payments 
Net cash flow 

Slide 14 - Tekstslide

This afternoon 
Workshop:


Complete another cash budget - Jan 2015 practice paper 

Slide 15 - Tekstslide