Course Curriculum

  • 1

    Test Your Knowledge

    • Test Your Knowledge

  • 2

    Reading Materials

    • Handouts

    • Lecture Slides

  • 3

    Applications of Cash Forecasting

    • Cash Forecasting Part 1

    • Cash Forecasting Part 2

    • Cash Forecasting Part 3

    • Cash Forecasting Part 4

  • 4

    SECTION REVIEW: Applications of Cash Forecasting

    • SECTION REVIEW: Applications of Cash Forecasting

  • 5

    Cash Forecasting Time Horizons

    • Short And Medium-term Forecasting

    • Long-term Forecasting

  • 6

    SECTION REVIEW: Cash Forecasting Time Horizons

    • SECTION REVIEW: Cash Forecasting Time Horizons

  • 7

    Forecasting Process and Techniques

    • The Forecast Process

    • Short-Term Forecasting

    • Medium And Long-term Forecasting

    • Forecasting Methods

  • 8

    SECTION REVIEW: Forecasting Process and Techniques

    • SECTION REVIEW: Forecasting Process and Techniques

  • 9

    Tips For More Precise Forecasting

    • Lines of Communication; Cash Flow Versus Revenue

    • Identify Inflows and Outflows

    • Scenarios and Results

  • 10

    SECTION REVIEW: Tips for More Precise Forecasting

    • SECTION REVIEW: Tips for More Precise Forecasting

  • 11

    Exercises

    • Scenario 1

    • Questions for Scenario 1

  • 12

    Case Study

    • CASE STUDY: LEHMAN BROTHERS AND THE SUBPRIME MORTGAGE CRISIS

    • Questions: LEHMAN BROTHERS AND THE SUBPRIME MORTGAGE CRISIS

  • 13

    Quiz

    • Cash Flow Management - Part 2 Quiz

Instructor

CPA, CIA, FRIAcc, EnP, REB, REA, MICB

Jeff-Mike Smith Sule

Jeff-Mike Smith Sule is a Fellow of the Royal Institute of Accountants based in Singapore, a Certified Internal Auditor under The Institute of Internal Auditors, a Certified Bookkeeper under The Institute of Certified Bookkeepers based in United Kingdom, and Technical Education and Skills Development Authority (TESDA), and an Accredited Accounting Teacher.  He has four active professional licenses under PRC, to wit, Certified Public Accountant, Real Estate Appraiser, Real Estate Broker, and Environmental Planner. Jeff graduated Magna Cum Laude from Polytechnic University of the Philippines – Manila with a bachelor degree in accountancy. He placed Top 7 in the 2010 CPA Licensure Examination and Top 2  in the 2014 Real Estate Appraiser Licensure Examination. Jeff is currently an internal audit manager at American Data Exchange Company. He also held various management positions in ÆON Credit Service (Philippines), Inc., a Japanese non-bank financing company, namely Internal Control Manager, Portfolio Manager, Control Manager and Internal Audit Manager. Jeff also previously did IT and financial audit at Ernst & Young - Sycip Gorres Velayo and Company (SGV). He was also a faculty member of various educational institutions which include Ateneo de Manila University, De La Salle University, Mapua Institute of Technology, Far Eastern University, Philippine Christian University, Polytechnic University of the Philippines, Manila Integrated Review Schools Corporation, Shield Professionals Review and Training Center, and ExcelCIA Knowledge Institute Inc. He was also an accreditor of the Association of Local Colleges and Universities – Commission on Accreditation (ALCU-COA).Jeff shares his knowledge and expertise as a PICPA lecturer and a national speaker on topics that involve external and internal audit, IT audit, real estate and environmental planning, accounting and taxation, bookkeeping, business process management and organizational transformation.

COURSE OBJECTIVES/LEARNING OUTCOMES 1) Explain what cash flow means; 2) Understand the cash flow cycle and importance of cash flow to a business; 3) Identify major causes of cash flow problems; 4) Define strategies to improve cash flow; 5) Gain knowledge on eliminating waste to improve cash flow and 6) Learn how to forecast cash flow.

LEARNING OUTCOMES

TOPICS TO BE DISCUSSED

SPECIFIC OBJECTIVES OF THE TOPICS OR SUBTOPICS

Gain knowledge on eliminating waste to improve cash flow

Improving cash flow through waste elimination

Understand how to conduct a cash flow analysis

Learn how to forecast cash flow

Cash flow forecasting

Understand the specific uses and applications of cash forecasting

Reinforce facts and principles covered in the lesson

Slides/Reading Materials

Recapture an overview of and retain in memory the principles of cash flow management

Master the facts and principles covered in the lesson

Short Quiz

Gain mastery of the principles and applications covered in the module