Managing Cash Flow
While standard nonprofit financial reports – the budget, income statement, and balance sheet – provide important management information, these statements alone do not tell whether there is enough cash on hand to pay for an unexpected expense, to take on a new opportunity, or even to cover payroll next month. This workshop will help you anticipate and prepare for the ebb and flow of cash coming in and going out of your organization and identify ways to avoid and manage cash flow challenges.
This workshop will have closed captioning available through the online service Otter.ai.com.
Propel workshops are not recorded.
All Propel trainings are listed in central standard time.
Trainer
Sarah Bauer Jackson
Sarah has a long history of working with nonprofits in Minnesota, both as a leader and a supporter. She is passionate about helping them understand and manage their finances. She has a background in journalism and philosophy and enjoys reading, traveling, cooking, sports, and Lake Superior.
Read BioTrainer
Sarah Bauer Jackson
Sarah has a long history of working with nonprofits in Minnesota, both as a leader and a supporter. She is passionate about helping them understand and manage their finances. She has a background in journalism and philosophy and enjoys reading, traveling, cooking, sports, and Lake Superior.
Read Bio