Cash-flow and working capital management

Venue:
Online Virtual Classroom
 
Date:
14/04/2020
 
Note:
Tuesday 14th April
 
Time:
11am-12pm
 
Category:
Business Training
 

Focusing on cash flow and working capital management is essential to ensure that you stay in business during and beyond the COVID-19 crisis. The “Construction of a 13 week cashflow projection for Cashflow and Working Capital Management during COVID19” programme does exactly that. It focuses on critical elements of your business that need action now. LEO Limerick has specifically designed this programme to help SMEs. Act now, get involved and sign up to this online programme.

This event is no longer available
 

This programme is for Limerick businesses only.

This programme will comprise of a 1 hour live small group online session where you will be guided through the construction of a 13 week cash flow statement. The various current financial supports and other tips to maximise your cash flow will be discussed.

 

Topics will include:

 

  • Cashflow and Working Capital Management
    • A step-by-step guide through the construction of a 13 week Cashlfow projection

 

  • COVID-19 Financial Supports for SMEs
    • A review of the up to date funding and financial supports available for businesses

 

  • Tips to maximise cashflow
    • A discussion on tax tips and other assistance to increase cashflow

 

 

Delivery Method:

  • Online/ Remote classroom based
  • Microsoft Teams Meeting (you don’t need the Microsoft Teams app to attend)
  • You will only need a PC/laptop/smart phone or tablet to participate.