A 4-weeks series designed to teach you how to utilize your financial statements to better manage & understand your business operations, cash flow & profitability. Focus on: interpreting & under-standing your financial statements (P&L, Balance Sheet) hands-on examples and case study; identifying cash flow cycle and how it impacts your business; learning how to calculate and use financial ratios to troubleshoot fiscal dangers, and analyzing trends to improve business performance; using financial tools to make good business decisions for effective spending & break-even analysis; knowing how to think critically when looking at pricing & costs; and developing forecasts and budgetary tools and techniques to improve profit. Class is kept small for hands-on learning.