Cash Flow Forecasting: Tools and Strategies for Accurate Predictions
Автор: Treasury4
Загружено: 2026-01-14
Просмотров: 101
For treasurers and CFOs, cash flow forecasting is a cornerstone of effective liquidity management and strategic decision-making. Yet, many finance teams face challenges like inconsistent data, manual processes, and limited reporting capabilities, which can lead to inaccuracies and missed opportunities.
This webinar will dive into the tools and strategies modern treasury teams use to achieve precise cash flow forecasts. From integrating near real-time bank data to leveraging advanced analytics, you'll gain practical insights to improve forecasting accuracy, streamline processes, and align financial insights with your organization’s goals.
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