Forecast your cash flow to understand the impact on your working capital is a core planning component of financial management within a company and groups of companies.
To forecast a future financial position, every enterprise need a high-end, reliable cash flow calculating.
Many of our customers benefit from our solutions – for everything from day to day liquidity planning, to strategic cash flow strategies.
In this webinar we are focusing on the problem and solutions for short and long term consolidated forecast of cash flow.
We will guide you how it works, in this additional, cost free, webinar.
Hosts are Paul Heveus, Partner Manager and Region manager Finland and Denmark and Zeeshan Umer, Partner at Aaro Middle East.
– On May 13th at 10:00 CET / 11:00 Kenya time / 12:00 UAE time.
- Short introduction.
- We guide you around our tips and ideas how to use existing functionality for Cash Flow Forecasting.
- We share with you our customers experiences and the benefits they have gained using our tool.
- Short demo and Q&A
To participate, enter your information below. Welcome!
Registration is closed.