Emerging from the current wave of uncertainty will require implementing a series of practical measures relative to understanding projected working capital, Balance Sheet impact, and the ability for an organization to draw a direct line between its operations, the sources and uses of cash, and agile business planning.
To help you give a practitioner’s perspective during these unprecedented times, AIRIA in partnership with Wadhwani Foundation is hosting a webinar to help you tide over this situation and provide you with effective cash flow and working capital management strategies.
The webinar will inter alia discuss the following:
Working capital Management
• Cash flow planning
• Understanding Cash flow statement
• Managing Cash Conversion Cycle
Cash Flow Management
• Bounce-back plan
• Stepwise approach to immediate cash flow recovery
• Tools & techniques