This activity is a more kinaesthetic approach to use when teaching cash flow forecasting. The resource is best used as a main activity for consolidating the learning on producing a cash flow forecast. Best carried out in groups of 3 students, each group is given a copy of the business information, a cash flow forecasting template and a pack of numbers. The students simply need to use the business information to ascertain where each of the numbers goes on the cash flow template.
Please note: this resource was provided to all delegates attending Making Finance Fun 2012.
Price includes a full colour printed copy of the resource, teacher instructions & guidance, a CD containing a photocopiable version resource and postage/packaging.