18th March 2021 – Meeting Minutes

We reviewed the past weeks activities, updating the task sheet. The budget and cashflow forecast templates were discussed at great length. We also reviewed the current budget spreadsheet, discussing the concerns around future negative cashflows. We identified the need to focus on new revenue generating activities, as opposed to cutting back on expenses. Nic to update the templates by the next meeting, when we will review these again in detail. Strategic planning process to also commence next meeting.

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