T2628 Cashflow Management

Venue:
LEO Training Room, Portlaoise EHP9
 
Date:
21/04/2026
 
Note:
Tuesday 21st April
 
Time:
9:30am - 4:30pm
 
Category:
Workshop
 

The aim of this course is to help business owners understand and manage their cashflow through forecasting, budgeting, and identifying potential shortfalls. Emphasises practical tools for financial planning and decision-making. Cash is King!

€5
 
 

AIM

This is a practical, useful course for any business owner who wants to manage and use cashflow to develop and grow a long term, sustainable business. 

  • Things that affect cashflow in any business
  • How to deal with cashflow issues and problems early!
  • Building and improving your business cashflow
  • Using cashflow projections to achieve your goals
  • Key tips to monitor, improve and maintain healthy cashflow

– useful templates provided

  • Sourcing assistance and funding

COURSE OBJECTIVES:

This is a practical programme

  • Identify factors which affect cashflow
  • Difference between cashflow and profit and importance of managing both!
  • Deal with cashflow issues early
  • Key tips to monitor cashflow
  • List source of funds

COURSE PROGRAMME:

  • Cash budgeting and cashflow management
  • Factors which cause cashflow problems and identifying cashflow problems early
  • Dealing with cashflow difficulties early and efficiently
  • Deciding to source funds, raising capital – sources of funding and assistance
  • Drafting a cashflow budget for your business – templates provided
  • Preparing your cashflow
  • Use your cashflow
  • Review your cashflow budget versus actual

Templates provided on Excel for weekly, monthly cashflow projections/budget and ongoing tools for cashflow management. A working document will be used for a class-based exercise, which will help attendees make informed decisions about their business for the next 3/6 months.