Monitoring Cash Flow
Benchmark progress, keep spending on target, and project growth with go-to reporting tools that can provide a snapshot of how your business is performing.
Preparing a Balance Sheet
A balance sheet is a documented record that reflects the result of all recorded accounting transactions since your business was formed. This in-depth workshop provides videos and resources to help you understand the importance of balance sheet and a step-by-step guide for creating one.
Preparing a Cash Budget
This interactive workshop and accompanying resource materials will help you decide which budget method is best for you and how to best manage your budget to pay creditors and maximize your working capital.
No matter what size your business, you will need to develop a cash budget to monitor your cash intake and spending.
Creating a Profit and Loss Statement
This interactive workshop will walk you through the process of developing a P&L or income statement and how you can use it to effectively gauge your company’s growth and financial health.
Analyzing Your Financial Ratios
This workshop shows you how to use comparative ratio analysis helps you identify and quantify your company's strengths and weaknesses, evaluate its financial position, and understand the risks you may be taking.
Get greater insight into the financial health of your business.