Preparing a Cash Budget March 1, 2018

All business owners, no matter what the type or size of their company, need to properly develop a plan for their expected cash intake and spending in order to meet their financial goals and objectives.  This plan is called a cash budget, or cash forecast.  

This free online business workshop will help you gain insights on how to budget your cash receipts and disbursements, determine your cash reserve requirements, and put it all together.

Download the transcript.

Registration

Sign up for SCORE emails to stay informed of new webinars and business resources. By selecting yes, you agree to receive email communications from SCORE. You can unsubscribe at any time.
CAPTCHA
This question is for testing whether or not you are a human visitor and to prevent automated spam submissions.
Preparing a Cash Budget