This is the first in a three part finance series where we start with a focus on the why’s and how’s of keeping tight control on cash flows. It will give practical tips and advice on how to formulate a cash flow model which will provide a live reference tool for managing your business. We’ll look at what to include, how to forecast and strategies for managing cash shortfalls.
Your presenter is Cate Peat, Finance Manager of the TABMA Group. Cate started her career with KPMG and progressed to be the finance lead in a variety of industries in the private, Government and not-for-profit sectors. Cate has also had two of her own businesses, is an experienced project manager and is a qualified trainer. Cate gained her accounting qualification 25 years ago and is a Fellow of the Chartered Association of Certified Accountants.
Via Zoom - your unique link will be emailed with your registration.
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