J09 - Cash Flow Analysis
in CPD & Exams
Hello all,
I am currently sitting J09 which is coursework based.
One of the questions requires you to use cashflows forecasts. I'm allowed to use cashflow modelling software. I was wondering if anyone has any guidance on if the cashflows outputs on a year by year basis should be included in the report. My concern with this is it will use a lot of my word count. My preference is to include a diagram with the results of the cashflow forecast as this won't use up much of my word count.
Any thoughts are appreciated.
Many thanks
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