Financial Forecasting and Cashflow
In this workshop, you'll acquire the essential skills to craft your own cash flow statement and forecast your financial trajectory.
Oplysninger om arrangementet
Tidspunkt
Sted
Kitchen, Universitetsbyen 76, Conference Room
Arrangør
About the workshop:
Mastering your startup’s financial future
Financially sound operations are key to any startup that wants to be in the market for the long run. However, accurately predicting a startup's future financial standing presents a challenging task.
Ever wondered:
- Will your startup achieve profitability?
- When do you potentially run out of cash?
- Do you need investment or alternative sources of cash? And if so, how much, and when?
In this workshop, you'll acquire the essential skills to craft your own cash flow statement and forecast your financial trajectory.
Who should attend?
This workshop is tailored for startups that anticipate incurring development costs before reaching profitability. No prior financial expertise is necessary – all you need are basic Excel skills and a positive attitude.
You will get:
- A Financial Forecast Excel spreadsheet to start plotting your numbers and foresee your startup's financial future.
- A Cash Flow Excel spreadsheet that keeps you informed about potential cash shortages.