Cash Management: A User’s Perspective – The How’s, Why’s and Wherefores

6 years ago Posted By : User Ref No: WURUR15812 0
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  • TypeWebinar
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  • Location Denver, Colorado, United States
  • Price
  • Date 16-01-2018
Cash Management: A User’s Perspective – The How’s, Why’s and Wherefores, Denver, Colorado, United States
Webinar Title
Cash Management: A User’s Perspective – The How’s, Why’s and Wherefores
Event Type
Webinar
Webinar Date
16-01-2018
Last Date for Applying
16-01-2018
Location
Denver, Colorado, United States
Organization Name / Organize By
Training Doyens
Organizing/Related Departments
Training Doyens
Organization Type
Organization/Company
WebinarCategory
Both (Technical & Non Technical)
WebinarLevel
All (State/Province/Region, National & International)
Related Industries

Education/Teaching/Training/Development

Business Development

Finance

Accounting/Financial/Banking/Insurance

Location
Denver, Colorado, United States

OVERVIEW

Cash management seems simple enough; money comes in, money goes out. However, managing the flows and gathering the right information at the right time is complicated and tricky. Understanding the pitfalls and anticipating Murphy’s Law is both a science and an art.

WHY SHOULD YOU ATTEND

Cash is King! You’ve heard that I’m sure. But managing cash can be a pain in the butt. Establishing procedures, maintaining banking relationships, and getting good, reliable information are some of the key elements of good cash management.

The larger the company, the more complex the issues and hence the solutions. No longer a pencil and paper enterprise; managing cash is the Rubik’s Cube of finance.

A bank that is not making its commercial and small business customers’ lives easier cannot expect them to utilize its Cash Management products. Internet cash management is typically the anchor product and ancillary systems such as ACH, positive pay and bill pay are often bolted on as an afterthought.

AREAS COVERED

  • Inflows, outflows, and information
  • Bank products and services
  • Where to get data
  • Internal and external information
  • Cash position
  • Budgeting and forecasting
  • Excel versus Treasury workstations
  • Department structure

LEARNING OBJECTIVES

An essential part of cash management is budgeting and forecasting and managing actuals against both expectations. Understanding the source of the data as well as the confidence you have in its reliability plays a large part in the management of your company’s cash.

WHO WILL BENEFIT

  • Treasurers
  • Cash Managers
  • Assistant Treasurers
  • Operations managers
  • Payments managers
  • Compliance Officers
  • Accountants and CPAs
  • Accounts receivables managers
  • Accounts payables managers
  • Procurement managers

Email: [email protected]

Toll Free: +1-888-300-8494

Tel: +1-720-996-1616

Fax: +1-888-909-1882

Others Details

Learn cash flow management strategies for different size of industries to make the cash management smooth and resolve complex issues regarding cash flow.

Registration Fees
Available
Registration Fees Details
Live Session for one participant $199 Corporate Live Session Group – Max 10 Participants from one location. $549 Recorded Session Get unlimited access to audio recording of the webinar for 6 months. $219 Training CD MP3 files, PDF presentation and reference manual will be delivered on a CD $399 Super Combo Offer 1 Live and Recorded webinar $329 Super Combo Offer 2 Live and Training CD $479
Registration Ways
Email
Phone
Website
Other
Address/Venue
  Online Webinar 
Official Email ID
Contact
Training Doyens

26468 E Walker Dr, Aurora, Colorado 80016-6104

[email protected]

   7209961616