This free workshop will look at creating a cash flow forecast for your start up business. More businesses fail through lack of cashflow.
We will discuss
- Understanding some common terms used to create accounts
- Sources of finance
- What we use money for
- What is the difference between profit and loss and cashflow
- Understand how to calculate break even and what you can use this for
You will learn how to complete a working spread sheet to ensure you understand the flow of cash through your business and use this knowledge to help manage it.
There will also be the opportunity of a follow-up 1:1 with an advisor at future drop-in sessions.
Time 10am to 1pm
Cost Free
Email members@tda.uk.net
Phone 01275 774 456