Cash flow workshop
Do you know how to create sufficient cash flow and forecast the cash flows?
- Background for cash flow forecasting in SME’s
- Net Working capital
- Forecasting liquidity and cash flow
- VAT in cash flow forecast
Please bring your own laptop, we will be calculating some exercises in cash flow forecasting.
You will also get the Excel base for cash flow forecasting.
Lecturer: Johanna Vuorto-Honkola, TT Valmennus Oy
This course is held in English.
This effective 3-hour-workshop is suitable to acting entrepreneurs and also new entrepreneurs soon starting their business. Very valuable information but for NewCo customers free-of-charge!
Register now and reserve your seat, because there’s room for max 30 participants.
WELCOME TO THE WORKSHOP!