A level Business Revision - Cash Flow Forecasts

In this A level Business revision video, we examine how to complete a cash flow forecast. Cash flow forecasts are a finance tool used by existing businesses and would be entrepreneurs. Cash flow forecasting is a key topic for the AQA, Edexcel, OCR and Cambridge International A level Business syllabus. TakingTheBiz is a channel dedicated to A level Business revision. Check out TakingTheBiz merchandise here: https://teespring.com/stores/takingth... See more of our videos: http://www.youtube.com/c/TakingTheBiz... Stay in touch with TakingTheBiz via social media: Facebook:   / takingthebiz   Twitter:   / takingthebiz   Instagram:   / takingthebiz   DISCLAIMER: The terminology and structure for cash flow forecasts can vary between different exam boards, so be sure to research the exact knowledge you will be required to use.