Cash flow forecasting is a critical facet of every treasurer’s role, but remains an area where there is often considerable room for improvement. Hear from the experts how you can make your forecast more accurate, and what benefits a strong forecast can provide your organization.

Presentation slides:

Treasury Best Practices webinar slides - Cash Flow Forecasting from Kyriba Corporation

Presenters:

Sam Pallotta

Sam Pallotta
VP, Treasurer, Rockefeller Group International

 
Jacob Nygren

Jacob Nygren
Principal, Treasury Strategies

 
Brad Teaver

Brad Teaver
North America Presales Executive

 
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