Faced with unprecedented volatility, CFOs are challenging treasury teams to produce complex forecasts requiring more data and analytics. With Kyriba's Liquidity Planning module, cash and liquidity forecasting becomes timelier and more accurate, all while breaking down silos that restrict information flow up and down between treasury and the CFO. In this session, we explain what Liquidity Planning is and how it can make your forecast truly actionable.
CTP Credits: This session provides .8 CTP credits. Upon completion of the session, you must take a quiz and achieve a score of 80% or more to receive the certificate. Quiz and certificate download can be obtained here.