Remove Cash Flow Forecasting Remove Cash Management Remove Strategic Planning
article thumbnail

The Treasury Function Gets Strategic

Global Finance

And while the latest tools of the trade—artificial intelligence (AI) and machine learning (ML)—promise to make tasks such as liquidity forecasting, cash management, and risk management easier, they come with their own complications and tie the treasury team even more closely into management’s strategic planning.

article thumbnail

Top Action Steps to Grow Your Business

CFO Simplified

Create a cash flow forecast. A business plan isn’t something that you just create when you start a company, it’s a strategic plan for how you’re going to manage and grow over the next two, five, and 10 years. The pandemic changed plans for nearly every business. Update your strategic plan.

Insiders

Sign Up for our Newsletter

This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.

Trending Sources

article thumbnail

Financial Planning & Analysis

Boston Startup CFO

13-week Cash Flow Forecasting We offer a comprehensive and forward-looking approach to cash planning. 13-week Cash Flow Forecasting We offer a comprehensive and forward-looking approach to cash planning.

article thumbnail

You Won’t Want to Miss these Key Trends in Financial Planning & Decision-making

Planful

According to the Dresner report, capital asset planning replaced the ability to link strategic plans to the annual budget as a top-ten item. Cash-flow forecasting and planning also increased slightly in prioritization to overtake workforce planning as the second-highest priority.