Cash Forecasting and Liquidity Planning In A Crisis

Presented by

Ernie Humphrey

About this talk

Key takeaways: 1) Understand the dynamics of Cash Forecasting & Liquidity Planning pre and post Coronavirus 2) Identify specific opportunities to improve your cash forecasting in any business environment. 3) Identify specific opportunities to improve your liquidity planning in any business environment. Every company was caught off guard when forced to transition to managing cash in a new remote reality. Uncertainty and disruption as the financial impacts have been unfolding have made cash forecasting and liquidity planning more important than ever. Cash forecasting accounts payable and accounts receivable weaknesses have been magnified as companies have had to manage data, processes, and relationships in new environments. How are companies managing their cash forecasts and cash conversion cycles in an increasingly dynamic next normal?
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