This AQA A Level Business (7138) PowerPoint covers the topic of Cash Flow and Liquidity. It is designed to support teachers in delivering clear, engaging and exam-focused lessons that are fully aligned to the latest specification.
What's Included
This resource includes:
- A fully editable PowerPoint presentation (typically 30-50 slides)
- 'Do Now' starter activity
- 'Quick Fire Five' knowledge check
- Clearly structured theory with applied examples
- Exam-style questions, including extended response practice
- Suggested answers to support teaching and assessment
Content Coverage
Topics covered include:
- Meaning and significance of payables and receivables
- Purpose and value of cash flow forecasting
- Advantages and disadvantages of ways of improving cash flow:
- debt factoring
- shortening payment time from customers
- early payment incentives
- credit checks
- increasing payment time to suppliers
- reduce outgoings
- better invoice management
- The completion, interpretation and analysis of cash flow forecasts, current ratio, acid test ratio, payables days and receivables days.
Teaching Focus
The resources are designed by an experienced A Level Business teacher with over 25 years experience of leading Business and Economics Departments and examining.
The focus is on providing a more in-depth understanding, whilst seeking to build strong chains of analysis and evaluation required for examination success.
Ideal for both new and experienced teachers looking to save planning time while delivering high-quality lessons.
