Cash Flow Forecasting

Cash Flow Forecasting is a financial management tool used to predict a company's future financial position. Coursera's Cash Flow Forecasting skill catalogue teaches you how to accurately predict incoming and outgoing cash to ensure solvency, assess risk, and make informed business decisions. You'll learn to prepare comprehensive cash flow forecasts, understand financial data and market trends, use forecasting software, and apply dynamic financial analysis techniques. Perfect your skills in optimizing business operations, managing risk, and planning for financial sustainability and growth, vital for roles in finance, business management, and entrepreneurship.
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31courses

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Results for "cash flow forecasting"

  • Skills you'll gain: Timelines, Return On Investment, Financial Statements, Financial Analysis, Balance Sheet, Construction Management, Capital Expenditure, Operating Cost, Income Statement, Cash Flow Forecasting, Microsoft Excel, Scheduling, Cash Flows, Revenue Forecasting

  • Status: Free Trial

    Skills you'll gain: Capital Budgeting, Financial Statements, Financial Statement Analysis, Business Valuation, Financial Analysis, Cash Flow Forecasting, Strategic Decision-Making, Cost Benefit Analysis, Financial Modeling, Income Statement, Return On Investment, Entrepreneurial Finance, Cash Flows, Balance Sheet, Microsoft Excel, Financial Management, Investment Management, Financial Forecasting, Case Studies, Forecasting

  • Status: New
    Status: Preview

    Skills you'll gain: Project Finance, Financial Modeling, Feasibility Studies, Project Risk Management, Risk Management, Financial Analysis, Stakeholder Communications, Capital Budgeting, Business Risk Management, Cost Estimation, Financial Forecasting, Return On Investment, Business Valuation, Cash Flow Forecasting

  • Status: Free Trial

    University of Pennsylvania

    Skills you'll gain: Financial Statements, Financial Statement Analysis, Return On Investment, Accrual Accounting, Financial Accounting, Capital Budgeting, Financial Reporting, Accounting, Working Capital, Finance, Financial Analysis, Balance Sheet, Portfolio Management, Income Statement, Capital Expenditure, Equities, Cash Flows, Corporate Finance, Forecasting, Cash Flow Forecasting

  • Status: Free Trial

    University of California, Irvine

    Skills you'll gain: Search Engine Marketing, Business Strategy, Keyword Research, Digital Marketing, Organizational Leadership, Online Advertising, Search Engine Optimization, Business Planning, Content Marketing, Accountability, Cash Flow Forecasting, Business Management, Leadership and Management, Management Training And Development, Social Media Strategy, Social Media, Team Leadership, Strategic Planning, Banking, Storytelling

  • Status: New
    Status: Free Trial

    University of Cambridge

    Skills you'll gain: Cash Flow Forecasting, Accrual Accounting, Financial Reporting, Finance, Environmental Social And Corporate Governance (ESG), Financial Analysis, Accounting, Financial Management, Financial Modeling, Corporate Finance, Capital Markets, Cash Flows, Financial Statements, Accruals, Depreciation, Key Performance Indicators (KPIs), Investments, Loans, Strategic Decision-Making, Problem Solving

  • Status: Free Trial

    Skills you'll gain: Construction Estimating, Cost Estimation, Punch Work, Bidding, Cost Control, Project Closure, Lean Methodologies, Project Estimation, Cash Flow Forecasting, Request For Quotation (RFQ), Earned Value Management, Procurement, Request for Proposal, Change Orders, Building Information Modeling

  • Status: Free Trial

    University of California, Irvine

    Skills you'll gain: Cash Flow Forecasting, Banking

  • Status: Free Trial

    Skills you'll gain: Goal Setting, Budgeting, Tax, Financial Planning, Cash Flow Forecasting, Financial Analysis, Credit Risk, Expense Management, Asset Management, Decision Making, Self-Awareness

  • Status: Free Trial

    IESE Business School

    Skills you'll gain: Financial Acumen, Financial Statements, Working Capital, Financial Analysis, Balance Sheet, Financial Management, Return On Investment, Forecasting, Profit and Loss (P&L) Management, Operational Analysis, Business Metrics, Cash Flow Forecasting, Financial Modeling, Accounts Receivable, Accounts Payable, Inventory Management, Business Strategy

  • Status: Free Trial

    Skills you'll gain: Oracle Cloud Applications, Month End Closing, Financial Data, Accounting and Finance Software, Budget Management, Financial Forecasting, Enterprise Resource Planning, Fiscal Management, Budgeting, Financial Planning, Workflow Management, Cash Flow Forecasting, Forecasting, Business Planning, Financial Reporting, Financial Analysis, Strategic Planning, Data Management, Data-Driven Decision-Making, Decision Making

  • Status: New
    Status: Preview

    Skills you'll gain: Financial Forecasting, Management Reporting, Dashboard, Budgeting, Financial Management, Predictive Modeling, Advanced Analytics, Power BI, Cash Flow Forecasting, Generative AI, Tableau Software, Real Time Data, Business Intelligence, Financial Modeling, Microsoft Excel, Financial Analysis, Trend Analysis, Data Visualization Software, Automation, Data Visualization