In the current market, cash is key to the survival and growth of any business. As the global economy continues to face challenges, effective cash and working capital management is an increasingly vital practice.
Regardless of the industry they operate in, businesses can demystify cash management by taking proactive steps to gain control over the situation. These include gaining visibility over cash flows, managing working capital needs, conducting thorough reviews to release illiquid cash, and ensuring the business model fully considers cash requirements.
In this webinar, KPMG Director, Chris Ball will talk through some fundamental items to consider to help build a robust cash and working capital management strategy, demonstrating how improved information around a company's cash position can lead to enhanced and informed decision making in difficult times.
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