Direct and Indirect Cash Flow Course
This course equips you with expertise in direct and indirect cash flow management tailored for speech therapy practices. Delve into payer mechanisms, pricing, billing processes, and 3-month cash projections to effectively manage insurance delays, ensure steady revenue, and take informed financial decisions with confidence. Ideal for stabilising practice finances year-round.

flexible workload of 4 to 360h
valid certificate in your country
What will I learn?
Gain practical tools to manage and enhance your practice's cash flow effectively. Master payer systems, pricing strategies, and payment terms to minimise delays, create easy dashboards for monitoring vital cash indicators, develop 3-month cash forecasts, prepare both direct and indirect cash flow reports, and implement straightforward bookkeeping practices for assured planning, tackling delayed payments, and safeguarding cash reserves throughout the year.
Elevify advantages
Develop skills
- Master cash flow in therapy practices by quickly mapping payers, payment timings, and bank balances.
- Create accurate 3-month cash forecasts for speech therapy using actual payer information.
- Prepare customised direct and indirect cash flow statements for clinic settings.
- Monitor accounts receivable, claim denials, and essential cash metrics to steady practice earnings.
- Implement easy policies and funding options to avoid cash shortages.
Suggested summary
Before starting, you can change the chapters and the workload. Choose which chapter to start with. Add or remove chapters. Increase or decrease the course workload.What our students say
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