Publication:

Strategies to improve your cash flow

27 October 2021

Rebecca White, Director of Financial Education |

Cash flow is the movement (i.e. incomings and outgoings) of cash in a business. Cash flow management is the process of tracking cash flowing in (from sales, funding or grants) and cash flowing out (for expenses, investing or repayment of debt) of a business bank account.

Cash flow is a critical factor for most companies as it’s one of the biggest reasons why small businesses fail. Being able to forecast when cash might be running low and having strategies to deploy to extend cash flow will lead to business stability and growth.

Is cash flow keeping you awake at night?

You’re not alone. Many small business owners struggle with cash flow management. Download our eBook to learn seven strategies you can deploy to immediately improve the amount of cash in your business.

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