Reliable cash forecasting can be a competitive advantage, especially in turbulent times.
In this webinar, we will explain how you can ensure transparency and visibility of company-level cash flows and liquidity.
We will review:
- How to ensure visibility of global cash positions
- How to build a best practice cash forecasting process
- How to reduce the gap forecasts and actuals
- How software can support your cash forecasting
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Adam Tamburello |
|
Karl-Henrik Sundberg |