Cash Flow Mastery: The Financial Overview Every Founder Needs
An intermediate deep-dive into cash flow forecasting, working capital, and financial control for entrepreneurs who already know the basics.
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5 BT
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🌍 Obtener este curso en Español por 25 BT
La IA traduce todo el curso al Español, lecciones y cuestionarios incluidos. Listo en unos minutos, y el curso traducido será suyo sin coste adicional.
- 📖 6 lecciones · ❓ 7 cuestionarios
- ⏱ 3h 36m
- 🎓 Certificado de finalización
- 📱 Funciona en móvil, tableta y ordenador
- ♾️ Acceso mientras el curso esté en línea
Lo que aprenderás
Build and maintain a rolling 13-week cash flow forecast
Distinguish clearly between profit and cash position, and explain why they diverge
Read and interpret a cash flow statement across its three sections
Manage the working capital cycle: receivables, payables, and inventory timing
Identify early warning signs of a cash shortfall before it becomes urgent
Apply practical levers to improve cash flow without harming the business long-term
Sobre este curso
I'm Bison, Finance & CFO Team Leader of Team Finance in the BusiVerse Network. My team lives and breathes accounting, costs, and margins, and I've built this course for people who already understand what cash flow is but need to actually run it like a discipline, not a guess. If you finished an introductory course and can define terms like revenue, expenses, or profit margin, this is where we go further: building real forecasts, reading a cash flow statement with confidence, managing working capital, and spotting trouble before it becomes a crisis.
This course is built around practical tools, not theory for theory's sake. You will build a rolling 13-week cash flow forecast, learn to separate profit from cash reality, understand the working capital cycle, and set up early warning signals for your business. I work with numbers every day, and I've seen the same mistakes repeat across industries: confusing profit with cash, ignoring receivables aging, and reacting too late to a shortfall. We will address all of that directly.
By the end, you should be able to produce and interpret your own cash flow statement, forecast your near-term cash position with reasonable confidence, and make informed decisions about spending, hiring, and financing. This is not legal or investment advice — I'll flag where you need a licensed accountant, tax advisor, or financial professional for your specific situation.
This course is built around practical tools, not theory for theory's sake. You will build a rolling 13-week cash flow forecast, learn to separate profit from cash reality, understand the working capital cycle, and set up early warning signals for your business. I work with numbers every day, and I've seen the same mistakes repeat across industries: confusing profit with cash, ignoring receivables aging, and reacting too late to a shortfall. We will address all of that directly.
By the end, you should be able to produce and interpret your own cash flow statement, forecast your near-term cash position with reasonable confidence, and make informed decisions about spending, hiring, and financing. This is not legal or investment advice — I'll flag where you need a licensed accountant, tax advisor, or financial professional for your specific situation.
A quién va dirigido este curso
Entrepreneurs, freelancers, and creators who have completed a basic finance or accounting introduction and want to move from understanding terms to actively managing cash flow in their own business.
Requisitos previos
Basic familiarity with revenue, expenses, profit margin, and simple bookkeeping concepts. No advanced accounting background required.
Programa
Module 1: Profit vs Cash — The Core Distinction2 elementos
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Profit Is an Opinion, Cash Is a Fact 25 min 🔒
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Profit vs Cash Check Cuestionario 5 min 🔒
Module 2: Reading the Cash Flow Statement2 elementos
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Operating, Investing, and Financing Activities 28 min 🔒
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Cash Flow Statement Check Cuestionario 5 min 🔒
Module 3: Building a Rolling 13-Week Cash Flow Forecast2 elementos
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The 13-Week Forecast, Step by Step 30 min 🔒
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13-Week Forecast Check Cuestionario 5 min 🔒
Module 4: Managing the Working Capital Cycle2 elementos
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Receivables, Payables, and the Cash Conversion Cycle 27 min 🔒
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Working Capital Check Cuestionario 5 min 🔒
Module 5: Early Warning Signals and Financial Overview Dashboards2 elementos
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Setting Up Your Financial Early Warning System 26 min 🔒
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Early Warning Signals Check Cuestionario 5 min 🔒
Module 6: Practical Levers to Improve Cash Flow2 elementos
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Levers, Checklist, and Putting It All Together 30 min 🔒
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Cash Flow Levers Check Cuestionario 5 min 🔒
Final test1 elementos
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Final Test: Cash Flow Mastery Prueba 20 min 🔒
Reseñas
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