Cash Management On-Site Training
In the Cash Management Training Course, you will learn best practices to manage your firm’s working capital (cash available for day-to-day operations) to improve the firm’s liquidity position, financial health, and reduce risk to allow management to take advantage of unexpected opportunities, and to qualify for bank loans and favorable trade credit terms. Course Description/AgendaIn the Cash Management Training Course, you will learn best practices to manage your firm’s working capital (cash available for day-to-day operations) to improve the firm’s liquidity position, financial health, and reduce risk to allow management to take advantage of unexpected opportunities, and to qualify for bank loans and favorable trade credit terms. WORKSHOP OUTLINEModule One: Introduction to Cash Management Overview of Working Capital Module Two: Cash Metrics Basic Financial Concepts Module Three: Collections, Concentration and Disbursements Disbursements Module Four: Short-Term Investing and Borrowing Managing Short-Term Investments Module Five: Long-Term and Capital Investments Managing Capital Market Investments Module Six: Cash Forecasting Purpose of Cash Forecasting Module Seven: Information Technology in Treasury Information Technology for Treasury CPE Credits DisclosureRecommended CPE credit: 24 Each Student Receives:
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