The SME Cash Flow Management GuideStop guessing where your business money goes."The SME Cash Flow Management Guide" is a practical finance toolkit designed for small and medium business owners who want to control cash, reduce financial stress, and make better business decisions.This is not just theory. It is a real-world working system built to help SMEs manage daily operations, monitor expenses, track receivables and payables, and forecast cash flow with confidence.Whether you run a shop, startup, agency, service business, or growing company, this guide gives you the structure needed to improve financial discipline and business stability.What You'll Get- 17 Practical Chapters on SME Cash Flow Management- Easy-to-Use Excel Templates- Daily Cashbook Template- Monthly Budget Template- Expense Tracker- Receivables Tracker- Payables Tracker- Cash Flow Forecast TemplateFinancial Health ChecklistWhat You'll Learn- How to control business cash movement- How to avoid cash shortages- How to separate profit from actual cash flow- How to track unpaid customer balances- How to manage supplier obligations effectively- How to build a simple cash flow forecasting system- How to improve financial decision-making as an SME ownerWho This Is For- Small business owners- Startups- Entrepreneurs- Freelancers- Finance officers- SME managers- Students interested in business financeWhy This Guide MattersMany businesses fail because of poor cash management - not because they lack sales.This guide helps you: - Stay financially organised- Improve accountability- Make smarter financial decisions- Understand your business cash position at any timeFormat- Digital Ebook (PDF)- Downloadable Excel Templates- Instant Access After PurchaseBonusSimple and beginner-friendly explanations with practical templates you can start using immediately.Take control of your business finances today.
AmazonPagina's: 33, Paperback, Independently published
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