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Last updated

10 March 2026

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GCSE Business Cash Flow Forecast Worksheet

**Resource Description **
GCSE Business cash flow forecast worksheet covering cash inflows, outflows, net cash flow, and closing balances. Ideal for lesson use, homework, revision, or assessment preparation.

This ready-to-use worksheet supports students in understanding cash flow forecasting, a key GCSE Business finance topic. It is suitable for classroom teaching, cover lessons, independent learning, or exam revision.

The worksheet includes:

• Multiple choice questions to test core knowledge
• Short-answer questions developing financial understanding
• Fill-in-the-gap tasks to reinforce key terminology
• “Spot the mistake” activities to build analytical skills
• Calculation questions using realistic business scenarios
• A full answer key for easy marking or self-assessment

Perfect for GCSE Business students studying business finance, cash flow, or budgeting. It helps learners practise calculations, apply financial formulas, and understand how businesses manage cash shortages and surpluses.

Suitable for AQA, Edexcel, OCR, Eduqas and Cambridge GCSE Business courses.

Great for lesson starters, plenaries, homework, intervention sessions, or revision packs.

Free GCSE & A-Level Business revision tools and exam support on my website.

For full lesson packs, revision bundles and exam-ready resources, visit my TES shop:
/teaching-resources/shop/FEteacher7

Creative Commons "Sharealike"

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