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What You'll Learn

• Understand the concept of cash flow and the difference between cash flow and profit.

• Analyze operating, investing, and financing cash flows.

• Understand and apply key cash flow ratios and metrics.

• Perform cash flow forecasting and projections.

• Develop practical strategies to manage and improve cash flow.

Course Content Overview

Requirements

Physical Appearance

Description

This program provides a comprehensive understanding of cash flow reporting, analysis, and management strategies. Participants will learn how to prepare and interpret cash flow statements, analyze operating, investing, and financing activities, and apply practical strategies to improve liquidity and financial performance. The course equips participants with the tools necessary to avoid cash shortages and make informed financial decisions.

Who this course is for

• Business Owners
• Managers
• Executives
• Finance Professionals

You may download the course detail, trainer profile and leaflet by click download button below

  • Novas HQ, Kuala Lumpur
  • 10-2, 2 Rio Office Tower, Persiaran Rio, Bandar Puteri, 47100 Puchong, Selangor D.E
  • Hotline : +603 8603 2052
  • Email : [email protected]
  • SSM : 202301045911 (1539826-M)
  • Novas Sabah Branch
  • Lot 10, 1st Floor & Mezzanine Floor, Phase 8, Lorong Margosa 2, Luyang Commercial Centre, 88300 Kota Kinabalu, Sabah
  • Hotline : +6088 223 975
  • Email : [email protected]
  • SSM : 202301045911 (1539826-M)
  • Novas Sarawak Branch
  • No.16-18, 2nd Floor,
    Jalan Wong King Huo, 96000, Sibu, Sarawak
  • Email : [email protected]
  • SSM : 202301045911 (1539826-M)
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