Responding to COVID-19: insight, support and guidance
CIPFA's Cash Flow Toolkit, updated for 2019/20, is a key tool for many authorities in producing their statement of accounts.
As local authorities and their finance teams continue to operate with reduced resources, there is a complex challenge to produce the statement of accounts quickly and accurately. CIPFA's Cash Flow Toolkit makes your accounts closure process more efficient and offers assurance that you are complying with the requirements of the latest Code of Practice.
The Cash Flow Toolkit will help you produce an accurate cash flow statement and easily auditable working papers in record time. The toolkit will help you to:
The Cash Flow Toolkit costs £1000 for a one year licence or £1500 for a three year licence.
Purchase and receive online:
One year option
A three year subscription saving 50% over the yearly price:
Three year option
For any enquiries regarding the product please contact our customer services team on T: 020 7543 5600 or email the Toolkit team to discuss the Cash Flow Toolkit.