STRATEGIES FOR CASH OPTIMIZATION IN ECONOMIC TURBULENCE
In today’s challenging economy, companies are grappling with the impact of higher interest rates, inflation, and borrowing costs. This is driving a need to maintain strong levels of cash and working capital to provide operational flexibility during these turbulent times. Watch CFGI’s webinar providing an overview of a typical cash conversion cycle, cash flow forecasting methodologies, and common KPIs and tools used to measure and provide insights to drive working capital improvements.