MP4 | Video: AVC 1280x720 | Audio: AAC 48KHz 2ch | Duration: 1.5 Hours | Lec: 20 | 864 MB
Genre: eLearning | Language: English
**Template Included** Use Excel for Cash Flow forecasting and projection in your retail business. Learn the Ins and Outs Why You Should Take This Course: Retail businesses often run very day to day, without much planning for the future. As well cash flow is always an issue, making sure there is enough in the bank to pay suppliers, your staff, yourself, and more. It can definitely be a struggle at times, and where the money has come in and gone to can be a bit of a mystery over time. Take control and let it be a mystery no more! Start planning, forecasting and budgeting today with this course. Become a cash flow budgeting and forecasting pro! This course is 100% in Microsoft Excel, showing you from start to finish how to build a proper budget and forecast for your small business retail store. We start with a blank Excel workbook, and will build the proper structure, formatting, formulas so that you can plan ahead for the future of your company, whether that is next week, month or the entire coming year. You will be able to see where your money comes in, where it goes out and at the end of the day/month/year where you will stand. This is most powerful if you compare what you are planning to what you actually achieve. As well I provide the template we build in the course for you to download! If you don't have the time or desire to build your own forecast, you can simply use the budget and forecast we build in the course and modify it to meet your needs.
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