Positive operating cash flows indicate that a business has sufficient cash flow to maintain and grow its operations. Managing positive operating cash flows involves understanding the characteristics of receivables and sales data; and identifying patterns and trends in this data.
This practical session uses Excel as a tool to guide participants step-by-step through a data analytics case study. Participants will learn how to understand the characteristics of the data; identify patterns and trends in data; and how to effectively visualise analytics results.
Maximum 90 attendees