Cash Flow Management Webinar
Gordana Milosevska, founding director of Management for Design, offers a timely and comprehensive presentation on essential cash flow management.
This CPD webinar was held on 2 June 2020 and is now available for PURCHASE ON DEMAND.
The current economic environment is unlike any time in the past. Cash is the lifeblood of any business and the COVID-19 crisis has completely disrupted the flow of cash throughout the industry. The project-based nature of our business means we are more vulnerable to disruptions. This results in increasing pressure on our cash flow and puts pressure on the financial wellbeing of our practices.
This webinar will help you to set your business up for survival and success by teaching you how to differentiate between profit and cash; create a cash flow management system, including a safety bank balance; review and manage your cash flow regularly; as well as additional steps you can take.
Our Speaker – Gordana Milosevska
With over 25 years of experience, Gordana has built her expertise through broad practice in accounting and financial control in a range of industries, including design, hospitality, retail, security and investigation, and fashion. Gordana has been instrumental in enabling businesses to attain financial stability and sustainable growth.
As a founding director of Management for Design, she applies her valuable skills as a CPA to enhancing the business efficiency and performance of architects, engineers and design businesses.
She is astute, proactive and a great communicator – qualities that make her a natural leader and mentor in any team situation – and she is passionate about sharing her knowledge to help other business leaders succeed.
*One ticket per attendee.
Participation in this event will deliver one formal CPD point.
AACA Competency – Practice Management
9.1 Knowledge and implementation of appropriate practice model to ensure efficient, effective and ethical professional service.
9.2 Knowledge and application of practice resources required to ensure efficient and effective professional service.
On completion of this webinar participants will understand how to:
- Differentiate between cash and profit
- Create a cash flow management system
- Review and manage cash flow regularly
CPD questions for this webinar will be sent to attendees before the webinar and will also be accessible for download from the webinar platform. Please keep your receipt and completed questions for your records.
For more information, contact Katherine Ygosse:
M: 0413 520 548