This site uses cookies to provide you with a more responsive and personalised service. By using this site you agree to our use of cookies. Please read our PRIVACY POLICY for more information on the cookies we use and how to delete or block them.
Webinar:

Cash Flow Management and a Step Plan for Businesses Impacted by COVID 19

16 September 2020


Lindsay Head, Assistant Manager, Business Services, Tax & Advisory |
Michael Steele , Partner, Business Services, Tax & Advisory |

As the Government stimulus measures and bank concessions will taper off or come to a complete stop in the near future, it is imperative that businesses are as prepared as possible to deal with the 'rebuild' phase, particularly those negatively impacted by COVID-19.

This webinar is focussed on the following:

  • Cash Flow preparation and management
  • How to avoid a cash burn
  • Common cash flow mistakes
  • A Step Plan for business impacted by COVID-19.

You will gain insights into what is needed to deal with the 'new normal' and provide pathways forward in mapping out and taking ownership of your 'rebuild' strategies.