Consolidation and Cash Flow Forecasting

Did you miss this event on how to optimize Consolidation and Cash Flow Forecasting?

The agenda was:

14:30 - 15:30  Automated cashflow statement and consolidation at Nyrstar
An insight in cash flow statements from local affiliates all the way up into the consolidated group cash flow, is a hard nut to crack. Nevertheless, properly including the cash flow statement within the reporting process can lead to gaining that insight. Find out how the Nyrstar consolidation team addressed this core process within their monthly group reporting, acknowledging attention to the data quality and transparency, automation of the process, flexibility and traceability of the outcome.   
 
15:45 - 16:15  Cash Flow Forecasting
Cash flow forecasting - the accurate prediction of cash inflows and outflows over a period of time - is a challenge that financial professionals have been dealing with for long time. The adoption of business intelligence tools could eliminate many of the roadblocks to achieve accurate cash flow forecasting. This presentation will show you how to approach the cash forecasting initiative, take your cash forecasting to the next level and use the integrated data to improve your working capital management. 

16:15 - 17:00  Consolidation, planning & forecasting NewS…
Today’s market for consolidation, planning and forecasting solutions is consolidated into three main suppliers. CFObelux has scaled solutions for the SME-market, based on these known suppliers but can also deliver own solutions for the market of smaller companies.

Do not hesitate and send a mail to contact@cfobelux.com with the subject Consolidaion and Cash Flow Forecasting and we will send you the full presentation.