As businesses scale up, treasury functions need a consolidated view of current and future cash positions. An automated, accurate forecast of the company’s future cash position reduces time, improves borrowing costs and investment yields, and optimizes trapped capital.
Complex business models are accompanied by distributed technology, legacy systems, and scattered data. Where do you begin to establish global cash visibility? How do you move forward with a digital strategy aligned with business objectives?
Join Craig Jeffery from Strategic Treasurer and Jack Trainor from HighRadius to learn how to scale up a global scale project for cash forecasting.
1.2 CTP and FP&A re-certification credits will be given for attendance to this live webinar.
Thursday, June 24, 2021
2:00 PM – 3:00 PM EDT
This is an online event