The control of liquidity at COVID time
In this period characterized by strong uncertainty about the evolution of the scenarios in which we operate, the control of liquidity plays a key role in the governance of a company.
During the event, a specific focus will be offered on the role of short-term financial planning (from 30 days to 90/180 days). Nor by medium / long-term financial planning tools that incorporate economic-financial-asset views along at least an annual horizon.
Thus, we will discover how it is possible to define a short-term planning process that enables the what-if update and allows the business scenario to be carried out whenever required. In a way to adapt to the context of the market in which each company must operate
14 may 2020 – webinar on-line at 10,00 AM