Description
Program Description:
Learn how to manage liquidity, optimize working capital, and ensure financial stability for your organization. Includes practical exercises and AI-assisted cash flow forecasting.
Objectives:
- Monitor and manage cash flow effectively
- Optimize working capital
- Ensure financial resilience and decision-making
Target Audience:
- Finance Managers
- CFOs and Controllers
- Business Development Managers
Duration: 3 days (12 hours)
Fees: (group discounts available)
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- On-site in Europe: €3,000 per participant
- Online: €2,000 per participant