Winning projects is only one part of building a successful independent career. Managing your cash flow is what allows you to navigate quieter months, plan for future growth, and build a financially sustainable business.
In this practical workshop, certified financial planner and business analyst Liana Ahrens Teixeira shares a simple framework for managing your finances as an independent professional. Through real examples and practical Excel demonstrations, she explains how to separate business and personal finances, track income and expenses, forecast future cash flow, and identify financial trends before they become problems.
Why independent professionals should separate business and personal finances, even without a registered company
How to build a simple cash flow system to monitor income, expenses, and profitability
Practical ways to budget for irregular income, seasonal work, and late client payments
How to identify financial trends and use historical data to plan future cash flow
Why forecasting helps you prepare for lean months and make better financial decisions
Common cash flow mistakes independent professionals make and how to avoid them