К содержимому
learnspaceYOUR NEXT CHAPTER
ПРОСТРАНСТВО ОБУЧЕНИЯ
ГлавнаяКаталог курсовМоё обучениеCoursera

Знания без границ

Учитесь у лучших университетов и компаний мира.

Открыть Coursera
Интеграция
Пространство университета
Моё пространствоСтраница курса
↵
ЯЛичный кабинетСтудент
© 2026 LearnSpaceКаждый день — возможность узнать больше.Помощь
Forecast Cash: Liquidity & Deficits · LearnSpace
Назад в каталог
courseraБизнес

Forecast Cash: Liquidity & Deficits

Курс от Coursera
Начальный≈ 1.9 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Cash shortfalls can make or break a business overnight. This Short Course was created to help accounting professionals master the foundational skills needed to predict and prevent cash crises before they happen. By completing this course, you'll be able to confidently define critical cash management terminology and build accurate 7-day cash flow forecasts that identify potential liquidity deficits. You'll master the concepts of cash float and minimum operating cash while learning to systematically apply financial assumptions in Excel and QuickBooks to create actionable forecasts that protect business operations. By the end of this course, you will be able to: Define the concepts of cash float and minimum operating cash Apply financial assumptions to a cash flow model to forecast short-term liquidity and identify deficits This course is unique because it bridges theoretical cash management concepts with hands-on forecasting practice, giving you immediate tools to safeguard your organization's financial stability. To be successful in this course, you should have a background in basic accounting principles and familiarity with Excel or similar spreadsheet software.e.g. This is primarily aimed at first- and second-year undergraduates interested in engineering or science, along with high school students and professionals with an interest in programming.

Навыки, которые вы освоите

Cash Flow ForecastingFinancial ModelingForecastingFinancial ForecastingQuickBooks (Accounting Software)Accounting SoftwareCash ManagementCash Flows

Программа курса

2 модулей · 13 учебных материалов

01Module 1: Cash Management Fundamentals - Foundation6 материалов
Cash Management Terminology Matters in AccountingВидеоEssential Cash Management Concepts for Accounting ProfessionalsЧтениеIdentifying Cash Float and Minimum Operating Cash in QuickBooks ВидеоExploring Your Cash Management UnderstandingDIALOGUE

Учитесь у экспертов

Professionals in the Industry

Преподаватель курса

Forecast Cash: Liquidity & Deficits
В каталоге вашей программы

Инвестируйте в себя

Новые знания — в удобное для вас время.

Начать на Coursera

Обучение откроется на Coursera
в новой вкладке

Обучение на Coursera

≈ 1.9 ч

2 модулей

Язык: Английский

Субтитры: Дари, Пушту

Часть программы вашего университета
Cash Management Analysis for Small Business AdvisoryЗадание
Cash Management Concepts Knowledge Check Задание
02Module 2: Cash Flow Forecasting Application - Core Application7 материалов
Accurate Cash Flow Forecasting Saves BusinessesВидеоBuilding Effective Cash Flow Forecasting Models ЧтениеMaking Critical Business Decisions with Cash Flow IntelligenceDIALOGUECreating a 7-Day Cash Flow Forecast in ExcelВидеоBuild Your Own Cash Flow Forecasting Template ЗаданиеCash Flow Forecasting Application Knowledge Check ЗаданиеCash Flow Forecasting Mastery Assessment Задание