Dear {{lead.First Name:default=Subscriber}},
Cash forecasting is a vital part of the treasury role – and for all too many treasurers it’s a time consuming, difficult job where insufficient system support makes data management, analysis and reporting a time-consuming nightmare.
However, the good news is that it doesn’t have to be that way! In this insightful webinar organised with our partner Analyste, we will:
• Discuss why cash forecasting is still an issue
• Delve into the barriers preventing corporate treasurers from making cash forecasting a simple task
• Investigate the technology solutions making it easier than ever before
• Work out a roadmap that will help treasurers ease their cash forecasting worries
Guest speakers include:
Sanna Outa-Ollila
Director, International Business
Analyste
Birgita Gjirja
Director
Zanders
The first step towards simplified cash forecasting: Register now for our Webinar on 17 September 2019 from 11:00AM to Midday hosted by The Global Treasurer organised with our partner Analyste
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