Understand the process of how to be profitable and manage the cash within your business, which is key to business growth.
In this workshop we will explore the theory and provide guidance to help your business produce profit & loss and cashflow forecasts.
These documents are essential for any business presenting their future growth to potential investors and seeking funding from banks, investors and government grants.
On this workshop, you will:
- Understand cashflow forecasts to estimate the cash needed to launch your business, stay in credit and pay the bills
- Learn how profit and loss projections can help you to track earnings, expenses and be sure that your business is making a profit
- Look at the different sources of finance and how to present your case to potential funders of all types
Led by experts, this programme is highly interactive, with plenty of opportunities for discussion and to practise your skills in a supportive and friendly environment.
Who is this course for?
This course is for business leaders or strategic managers of established businesses with 3 – 249 employees. It is for growing businesses with demonstrable potential for scale, or for high growth businesses looking to speed up their growth.