Profit Mastery Series Module 4

Estimated Time: N/A

This presentation cuts straight to the bottom line with a discussion of why you need to perform cash flow analysis, how to do it, and the impact it can have on the way you run your company. Participants will build a profit plan and cash budget on a step by step basis. The case study also explores the effect of seasonal sales cycles on cash flow and profits. 

CFE candidates must submit the certificate to the ICFE in order to receive CFE credits. Email to cfe@franchise.org.

50 CFE Education credits

Course Objectives

At the conclusion of Cash Flow, attendees will be able to:

- Develop a profit plan and cash budget forecast

- Identify key patterns of cash flow

- Identify the financial impact of different cash flow patterns

- Identify the effects of short-term and long-term financial cycles

- Determine the differences between net profit and cash flow

- Use their forecasts in variance reporting CFE candidates must submit the certificate to the ICFE in order to receive CFE credits.

Cost

  • $95

Certificates

Completion of this course (all lessons must be passed or completed) will earn credit towards the following certificate(s):

  • Profit Mastery Series Module 4
 
ENROLL

LEARNING OBJECTS INCLUDED - eLearning and Live Training

Title Status
Profit Mastery Series - Starting the Cash Budget - Profit Plan Not Enrolled
Profit Mastery Series - Building Cash Flow Not Enrolled
Profit Mastery Series - Continuing Cash Flow Not Enrolled
Profit Mastery Series - Finish Cash Flow - Lending Not Enrolled
Profit Mastery Series - Reviewing the Graph Not Enrolled
Profit Mastery Series - Cash Flow Wrap Up Not Enrolled
Profit Mastery Series - Module 4 Exam Not Enrolled
Lessons in this course must be completed in order.

COURSE MATERIALS

Participant Guide Chapter 4 - 1 MB: PDF format.